UNITED STATES оf America, Plaintiff-Appellee, v. Cheryl Lea POPE, Defendant-Appellant.
No. 04-51008.
United States Court of Appeals, Fifth Circuit.
June 6, 2006.
452 F.3d 338
V.
Defendants finally challenge their sentences, contending that the district court contravened United States v. Booker, 543 U.S. 220, 125 S.Ct. 738, 160 L.Ed.2d 621 (2005), by treating the Sentencing Guidelines as mandatory. See United States v. White, 405 F.3d 208, 216-17 (4th Cir.2005) (describing statutory Booker error). Defendants did not raise this objection in the court below, and we thus review for plain error. See United States v. Collins, 412 F.3d 515, 524 (4th Cir.2005).
Defendants are correct that the district court committed plain error by imposing sentences under the mandatory Guidelines regime. See Collins, 412 F.3d at 524-25. But they cannot show the error was prejudicial, see White, 405 F.3d at 223-24, and their Booker claim thus fails. While the district court did acknowledge that the Guidelines conferred limited discretion, it “made no statements at sentencing indicating that it wished to sentence [defendants] below the guideline range.” Id. at 223-24, 125 S.Ct. 738. In fact, the district court separately remarked to both defendants that the murder of Shelton was a “terrible crimе.” On the record before us, there is, therefore, “no nonspeculative basis for concluding that the treatment of the guidelines as mandatory” affected defendants’ sentences. Id. at 223, 125 S.Ct. 738.
VI.
For the foregoing reasons, the judgment of the district court is AFFIRMED.
Joseph H. Gay, Jr., Asst. U.S. Atty., Mark Randolph Stelmach, Asst. U.S. Atty. (argued), San Antonio, TX, for Plaintiff-Appellee.
Allen Francis Cazier (argued), San Antonio, TX, for Defendant-Appellant.
Before JOLLY, WIENER and DENNIS, Circuit Judges.
WIENER, Circuit Judge:
Defendant-Appellant Cheryl Lea Pope entered a conditional plea of guilty to a charge of conspiracy to manufacture methamphetamine, reserving her right to appeal the district court‘s denial of her motion to suppress evidence obtained during a two-stage evidentiary search of her residence. In the first stage, officers executed a search warrant purportedly issued for the purpose of uncovering evidence of a prescription-drug operation. At the outset of that stage, officers observed evidence of a methamphetamine laboratory in plain view. That evidence formed the basis of a second warrant issued to search for evidence of a meth lab, the second stage of the search.
At the suppression hearing, the district court ruled that the initial stage was unconstitutional because it was grounded in a warrant issued on the basis of stale evidence. The court nevertheless admitted the evidence from that unconstitutional search in reliance on the good faith exception to the exclusionary rule. Under that ruling, evidence from both stages of the search of Pope‘s residence was admitted.
The parties do not contest the district court‘s determination that the first stage prescription-drug warrant was unsupported by probable cause. Instead, they dispute the district court‘s application of the good faith еxception to the exclusionary rule to the facts of this case. Specifically, Pope contends that the first stage of the search does not qualify under the good faith exception to the exclusionary rule, so that she is entitled to have all evidence seized during both stages of the search suppressed. The parties agree that if we reverse the district court and hold that the initial stage of the search does not qualify under the good faith exception to the exclusionary rule, Pope must be acquitted. We so hold, and thus reverse and vacate Pope‘s conviction and sentence.
I. FACTS AND PROCEEDINGS
On June 25, 2003, Officer Michael Baird bought six prescription pills for ten dollars from Pope as part of an undercover investigation. There is no evidence in the record that, after that single purchase, either he or any other law enforcement personnel pursued the prescriptiоn-drug matter. Then, 78 days later, Baird received a tip having nothing to do with prescription drugs, viz., that Pope was cooking methamphetamine. Baird acknowledges that he knew that he did not have probable cause to obtain a search warrant to enter Pope‘s home in search of evidence of a meth lab. To circumvent that hurdle, Baird immediately began drafting an evidentiary search warrant affidavit—the first in his career—relating solely to the moribund prescription-drug issue. Despite having done nothing about the prescription-drug buy for 78 days, Baird stayed at work past midnight preparing a prescription-drug search warrant affidavit, slept a few hours, then timed his trip to a state magistrate‘s home to arrive at seven o‘clock the next morning.
Crucially, Baird intentionally failed to disclose to the magistrate the true purpose for which the officer wanted to search Pope‘s house: solely to look for and seize evidence of a meth lab. Instead, he attested under oath that he was applying for “an evidentiary search warrant ... The purpose is to obtain evidence of a crime that has already been committed,” i.e., evidence of the stale prescription-drug buy.1 Only by this subterfuge was Baird able to obtain a warrant to search Pope‘s home for the undisclosed purpose of seeking evidence of a meth lab.
Significantly, Baird did not hand off the tainted warrant to other officers; rather, he personally went to Pope‘s home to execute the faux search for prescription drugs accompanied by a team of officers fully dressed in the kind of protective gear used to search for meth labs. When, as anticipated, they found evidence of a meth lab in plain view, Baird immediately left the premises to obtain a second warrant, this one to search for additional evidence of the meth lab. Notably, there is no evidenсe in the record that the police ever looked for, much less found, any evidence of the prescription-drug crime for which Baird had obtained the initial warrant.
Pope sought to suppress all the evidence because the facts in the affidavit on which the prescription-drug warrant was issued were stale, depriving Baird of probable cause to search Pope‘s residence for anything. Pope also insisted that, under the particular facts of this case, the government could not rely on the good faith exception to the exclusionary rule. When Pope‘s counsel questioned Baird as to his actual purpose of securing the prescrip-
The district court correctly found that (1) the initial search warrant was basеd on a sale of prescription drugs that occurred 78 days before Baird obtained the warrant, (2) the purpose for which the magistrate issued the warrant was not to search for evidence of a meth lab, but solely to search for evidence related to the stale prescription-drug buy,2 and (3) Baird consciously withheld all information about the meth lab and his suspicions in that regard, because he knew that he did not have probable cause for a warrant to search for evidence of a meth operation. Specifically, the district court found that Baird “had received a tip that [Pope] was cooking methamphetamine ... Because he did not believe he had probable cause to search the residence for evidence of meth production, Baird did not tell the state district court judge about his suspicions.” The court was also correct in holding that the prescription-drug wаrrant lacked probable cause because the information regarding the prescription-drug sale was stale.
Despite all this, the court went on to deny Pope‘s motion to suppress, purporting to rely on the good faith exception to the rule excluding evidence obtained in a search grounded in an invalid warrant. In so doing, the court held that none of the exceptions to the good faith exception applied.
II. ANALYSIS
A. Standard of Review
When a district court grants or denies a motion to exclude evidence, we review that court‘s factual findings—both explicit and implicit—for clear error.3 We review its conclusions of law de novo.4
B. Discussion
1. Law
The exclusionary rule requires courts to suppress evidence seized on the basis of a warrant that is unsupported by probable cause.5 The purpose of the exclusionary rule is to deter unlawful police conduct. As the Supreme Court has repeatedly observed:
The deterrent purpose of the exclusionary rule necessarily assumes that the police have engaged in willful, or at the very least negligent, conduct which has deprived the defendant of some right. By refusing to admit evidence gained as a result of such conduct, the courts hope to instill in those particular investigating officers, or in their future counterparts, a greater degree of care toward the rights of the accused.6
The exclusionary rule is not without limits, however. As the Court cautioned, “[w]here the official action was pursued in complete good faith, however, the deter-
“[S]uppression of evidence obtained pursuant to a warrant should be ordered only on a case-by-case basis and only in those unusual cases in which exclusion will further the purposes of the exclusionary rule.”11 The Supreme Court noted in Leon that “it is clear that in some circumstances the officer will have no reasonable grounds for believing that the warrant was properly issued.”12 Among the “circumstances” to which the Court referred are those in which the magistrate issued a warrant in reliance on a deliberately or recklessly false affidavit.13 This is because a reasonably well-trained officer with objective knowledge that a search warrant has been issued on the basis оf (1) deliberate or reckless falsehoods, (2) material omissions, or (3) both, would conclude that the search is unlawful under the magistrate‘s flawed authorization.
2. Merits
“[I]t is one thing to admit evidence innocently obtained by officers who rely on warrants later found invalid due to a magistrate‘s error. It is an entirely different matter when the officers are themselves ultimately responsible for the defects in the warrant.”14
As noted, the district court held that “the good faith exception applies to the ... search warrant.” In its conclusions of law, the district court specified the circumstances in which the good faith exception did not apply, including “when the magistrate or state judge issues a warrant in reliance on a deliberately false affidavit.” And the government expressly argued to the district court that “[t]here was no evidence of deliberate recklessness ... in the affidavit.” Pope contends that the good faith exception does not apply because Baird‘s representation in his search warrant affidavit that “the purpose [of the search] is to obtain evidence of a crime that has already been committed,”15 i.e. the 78-day-old drug-buy, was deliberately or recklessly false. This, according to Pope, is because the officer‘s conceded—but undisclosed—purpose of the search was only to uncover evidence of the meth lab.
Although the district court failed to make an express finding that Baird did not prepare a deliberately or recklessly false
(a) Baird‘s Testimony at the Suppression Hearing
We know from Baird‘s own lips that he lied to the magistrate. When Pope‘s counsel asked Baird why he got the search warrant when he did, Baird responded that “[w]e had received information several times that Ms. Pope was cooking methamphetamine. We received information that, at that time, there was a possibility that she was cooking methamphetamine.” And, Baird temporized, “[w]e had information that did not rise to the level of probable cause that they were cooking methamphetamine.” On hearing this testimony, Pope‘s counsel asked:
Q: So you had this information which you believed fell short of probable cause, so in lieu of that, you sought an evidentiary search warrant on the basis of the transaction that had occurred 78 days ago?
A: I applied for a search warrant, for an evidentiary search warrant for evidence of a previous narcotics purchase.
Q: Were you instructed to do that by one of your superiors?
A: No, sir. It was my idea.
When Baird further emphasized his susрicion that Pope was cooking meth at the time that he applied for the warrant, Pope‘s counsel asked him, “So why not tell the judge?” Baird responded, “I did not want to—I wanted the affidavit to stand on its own.” As Baird explained during his testimony, “[t]he search warrant wasn‘t intending to go find methamphetamines. The intent of the warrant was to find evidence of a mere previous buy [of prescription drugs].”17 These statements confirm that searching for evidence of the prescription-drug operation was not the purpose, or even a purpose, for which Baird sought the warrant at all. Instead, stating in his affidavit that the purpose of the search was for evidence of the prescription-drug operation was a tactical maneuver Baird used to avoid the probable cause prerequisite that, by his own admission, he could not satisfy.
Notably, there is more than Baird‘s affirmative testimony that leads us to this conclusion. What Bаird failed to say dur-
Baird‘s suppression hearing testimony absolutely puts the lie to his sworn statement in the warrant affidavit that the purpose of the search was to find evidence of the previous prescription-drug buy. A careful review of the entire record makes clear that the only purpose of the search was to find evidence of the suspected meth lab. Accordingly, the district court clearly erred when it implicitly found that Baird did not deliberately or recklessly mislead the magistrate. At the same time, the district court‘s erroneous factual finding led to that court‘s legal error in holding that Baird‘s two-warrant search fell within the good faith exception.18
(b) The Warrant Application
Even if Baird‘s testimony were not enough, the undisputed circumstances surrounding Baird‘s warrant application further confirm our conclusion. As soon as Baird was tipped that Pope was cooking a batch of meth, he remained on the job and worked past midnight preparing the deceptive warrant affidavit, then, by design, arrived at the issuing magistrate‘s house at seven o‘clock in the morning to get the magistrate to sign the warrant. Obviously, none of Baird‘s overtime rushing would have been necеssary if gathering evidence about the old undercover prescription drug buy were the true purpose for obtaining the warrant: Alone, the urgency with which Baird confected the warrant application immediately after receiving the meth tip further belies his sworn statement to the magistrate that the purpose of the search was to uncover evidence of the prescription-drug buy.
(c) The Execution of the Search
Even if Baird‘s testimony and the circumstances of the warrant application were not enough, the undisputed circumstances surrounding the execution of the search of Pope‘s home confirm beyond cavil that the purpose for obtaining the warrant was to search for a meth lab. First, Baird and his fellow officers arrived to execute the search wearing protective gear in anticipation of finding a meth lab. Second, once they found plain-view evidence of the meth lab during the initial protective swеep, Baird and a fellow officer left the premises to prepare another affidavit and obtain a second search warrant, this one for the meth lab. As already noted, there is no evidence before us to suggest that the officers ever looked for—much less found—indicia of a prescription-drug operation. This is confirmed by record photographs taken in the process of executing the search.19 Ultimately, this was
(d) Conclusion on the Merits
The good faith exception is not an instrument that law enforcement may use to manipulate the warrant application process and thereby circumvent the constitutional requirement of probable cause. As the Second Circuit poignantly observed, the good faith exception “is nоt an excuse if the police are not frank with the magistrate in the proceedings to obtain the warrant.”20 There is simply no way for this case to be shoe-horned into the good faith exception to the exclusionary rule: Under these discrete facts, a reasonably well-trained officer in Baird‘s exact circumstances would have known that the search was illegal despite the magistrate‘s authorization. This is because the attesting officer obtained the warrant by way of (1) a deliberate falsehood, i.e., the statement that the purpose of the search was to uncover evidence of a prescription-drug operation, and (2) a deliberate omission of material fact, i.e., that the actual purpose of the search was to uncover evidence of a meth lab. As the Supreme Court has unequivocally explained, an officer would have “no reasonable grоunds for believing that the warrant was properly issued ... if the magistrate or judge in issuing a warrant was misled by information in an affidavit that the affiant knew was false or would have known was false except for his reckless disregard of the truth.”21
Further, it is critical that we suppress evidence obtained pursuant to a warrant that was procured only by misleading the magistrate as to the purpose of the intended search. This is because a judicial officer cannot properly perform his gate-keeping function of making the probable cause determination if the stated object of the requested search is false or incomplete: The facts supporting probable cause and the object of the search are inextricably linked in the probable cause calculus. Thus, for a judicial officer to determine properly whether probable cause exists to conduct a search, law enforcement must forthrightly inform such magistrate of, inter alia, the actual purpose of the search.
Finally, we cannot overemphasize the fact that the very officer who here claims good faith reliance on the warrant is the self-same officer who duped the magistrate with that officer‘s tainted affidavit, thus producing the equally tainted warrant on which the deceitful officer now seeks to rely. This is precisely the type of case in which suppression must be granted to serve the deterrent purpose of the exclusionary rule: Exclusion of the evidence here should ensure that future “Officer Bairds” will disclose fully and truthfully all the pertinent information that they are duty-bound to supply judicial officers when seeking search warrants.22 As this case
3. The Dissent
With respect, we see the dissent as mischaracterizing the law, the record, and this opinion. First, the dissent relies entirely on warrantless pretextual traffic stop jurisprudence in its critique, viz., Whren v. United States, 517 U.S. 806, 116 S.Ct. 1769, 135 L.Ed.2d 89 (1996).23 Crucially, the dissent fails to address the palpable distinction between pretextual vehicle searches and the searches of private residences pursuant to a judicially authorized warrant, the kind of searches that lie at the core of the Fourth Amendment‘s protection. Traffic stop cases such as Whren stand for the principle that, when law enforcement has a legally justifiable (1) presence at the scene, and (2) reason to stop a vehicle, the presence of the officer‘s ulterior or additional motive for that stop neither strips law enforcement of its legal justification for the warrantless stop nor subjects the fruits of the search to suppression.24 The Whren court refused to undertake the inquiry into whether an officer plausibly had the prоper state of mind to justify a traffic stop because his actions were legally justified from the outset by probable cause.25
In the instant case, Baird‘s actions were not legally justified from the outset because he lied in and omitted material information from the affidavit with which he secured the initial warrant. Without a valid warrant, he had no justifiable reason to be at Pope‘s residence in the first place. Absent any legal justification to enter and search Pope‘s residence, all that remains is Baird‘s objectively proved purpose of searching Pope‘s residence for the meth lab. If we were to rely on traffic stop jurisprudence to resolve the legality of this search, Delaware v. Prouse, 440 U.S. 648, 99 S.Ct. 1391, 59 L.Ed.2d 660 (1979)26 would be more appropriate. There, an officer with neither probable cause nor reasonable suspicion stopped a vehicle and, when he reached the vehiclе, saw marijuana in plain view and seized it.27 The Court held that suppression was required because the officer lacked probable cause or reasonable suspicion to stop the car in the first place, without which there could be no “plain view” exception.28
The dissent also accuses this writing of advancing a subjective determination on the basis of what we perceive to be Officer Baird‘s state of mind. But, we obviously are not conducting a subjective inquiry into Officer Baird‘s mindset: Quite to the contrary, we are objectively determining whether Baird deliberately or recklessly made false statements or material omissions, or both, that misled the magistrate into signing the search warrant. To do so, we properly consider the officer‘s statements under oath in his affidavit, the sworn testimony he provided at the suppression hearing, and other relevant evidence. Only then must we consider whether, under the entirеty of these circumstances, a reasonably well-trained officer would objectively and in good faith rely on the search warrant as legally issued. Ours is a purely objective inquiry; there is simply no other way to determine whether
Further, even though we need not debate the question here because our inquiry is objective, there is solid jurisprudence indicating that actual good faith is a threshold inquiry when determining whether the good faith exception to the exclusionary rule applies, despite the dissent‘s insistence to the contrary. A solid line of cases holds that there is both a subjective and an objective component to the good faith exception. In United States v. Williams, 622 F.2d 830 (5th Cir.1980),29 a pre-Leon case, this court held that there is a good faith exception to the exclusionary rule, and that to fit within the exception the officer must be (1) in actual good faith, and (2) acting in objectively reasonable reliance on the warrant. Leon did not overrule this dual standard. Indeed, Leon identified circumstances in which the good faith exception would not apply that turn on an officer‘s actual good faith. For example, the Court noted that the good faith exception would not apply if an officer obtained a search warrant with a “bare bones” affidavit, and then assigned the search to other officers who were unaware of the warrant affidavit‘s deficiencies.30 Similarly, an officer who has engaged in magistrate shopping may not be entitled to the good faith exception to the exclusionary rule.31
Since Leon, we have observed that a police officer‘s actions must be in both subjective and objective good faith to come within the good faith exception.32 The Sixth Circuit has explicitly recognized that there are two components to the Leon good faith inquiry: First, whether the police actually acted in good faith, and second, whether police reliance on the warrant was objectively reasonable.33 Ultimately, the dissent relies heavily on the fallacious principle that actual good faith is irrelevant to the good faith exception to the exclusionary rule. Although that proposition is not at issue here, both law and logic indicate that actual good faith is indeed a relevant consideration when deciding whether to apply the good faith exception to the exclusionary rule.
The dissent further attacks our conclusion that Officer Baird lied as engaging in “appellate fact-finding.” To that we have two responses. First, we would respectfully remind the dissent that our purpose is to review the district court‘s factual findings. The district court‘s failure expressly to articulate its finding that Baird did not deliberately or recklessly mislead the magistrate does not insulate it from review on appeal for clear error: Such a
Second, the dissent attacks only our conclusion that Officer Baird lied—it does not challenge the fact that Officer Baird omitted key material information, i.e., the purpose оf his search (or, as the dissent characterizes it, Baird‘s “unstated, underlying motive.“).34 Thus, at the very least, the dissent would have us confect the following rule: A law enforcement officer may omit from his affidavit key material information that pertains to the purpose of a search in securing a warrant, then cynically “throw himself on the mercy” of the good faith exception to the exclusionary rule—never mind that the entire affidavit, including the officer‘s statement of purpose, is a declaration made under oath before a judicial officer. The dissent points to no law to the effect that an officer may omit critical material information from his warrant affidavit and then seek shelter under the good faith exception. This is because there is none: The law is well established that omitting critical information from the warrant affidavit deprives the officer of the benefit of the good faith exception.35
(This is likely а primary reason why the dissent relies singularly and without explanation on the inapposite analogy of the warrantless pretextual traffic stop to advance its view.)
Additionally, donning blinders to an officer‘s false and misleading statement of purpose in his warrant affidavit would be untenable because, as noted above, a judicial officer cannot properly perform his gate-keeping function in making the probable cause determination if the stated object of the search is false or materially incomplete. Furthermore, disregarding a significant difference between the stated purpose and the actual purpose of a search ignores the Supreme Court‘s specific instruction in Leon that “in making [the good faith] determination, all of the circumstances ... may be considered.”36
Finally, the dissent argues that we should not consider whether Officer Baird is entitled to the Leon good-faith exception because, according to the dissent, it was not raised below and the district court “did not think for a moment” about it.37 Review of the record, however, reveals that the issue of Officer Baird‘s deceptive behavior was before the district court. Specifically, Pope argued in her motion to suppress that the Leon good-faith exception did not apply, and the government argued in response that “[t]here was no
all of [the statements in the affidavit] are predicated upon violations of controlled substance or marijuana violations, and that‘s not what we have here. They are making the jump from this relatively insignificant delivery of six pills for $10 to a major drug dealer case, and there is just nothing in the affidavit that would permit somebody to make that jump ... That is our argument, really.
Accordingly, the issue whether Officer Baird deliberately or recklessly disregarded the truth or omitted information was sufficiently raised for the district court‘s consideration.
III. CONCLUSION
The entire search conducted at Pope‘s residence lacked probable cause. In executing that search, Officer Baird cannot, in good faith, reasonably rely on the flawed warrants that facially authorized it—especially when his personal actions directly caused the vices in those warrants. Accordingly, we reverse Pope‘s conviction and vacate her sentence.
REVERSED; SENTENCE VACATED.
E. GRADY JOLLY, Circuit Judge, dissenting:
I respectfully dissent because I believe the Leon good-faith exception applies, because the majority opinion reflects an erroneous view of the record, and because the majority engages in appellate fact-finding. As an appellate fact-finder, the majority recharacterizes the officer as a “liar,” contradicting not only the district judge but also the defendant‘s appellate counsel, who said at oral argument that he did not doubt the officer‘s good faith and that the officer believed he was doing the right thing.
No one questions that Officer Baird, in applying for and executing the original search warrant, believed that probable cause supported a search warrant for evidence of illegal prescription-drug sales. Baird applied for a warrant on that basis alone,1 and the magistrate issued a warrant on that basis alone. Baird‘s “reliance on the magistrate‘s probable-cause determination and on the technical sufficiency of the warrant,” United States v. Leon, 468 U.S. 897, 922, 104 S.Ct. 3405, 82 L.Ed.2d 677 (1984) (internal quotations omitted), was objectively reasonable. This is what the District Court properly found as fact and law.
To upset this finding of the District Court, the majority, taking liberties with the record, contends that Baird‘s aрplication for and execution of the warrant was in bad faith because he concealed from the magistrate judge his “true purpose” and allegedly his sole motivation in seeking the warrant, namely, his anticipation of finding plain-view evidence of a methamphetamine cook taking place on the premises. In short, the majority argues that Baird‘s belief that probable cause supported the search for prescription-drug evidence is irrelevant because his subjective motive in seeking the warrant was to search for methamphetamines for which there was no probable cause. However, the Supreme Court repeatedly has emphasized that the subjective intent of the officer is not to be considered:
Not only have we never held, outside the context of inventory search or administrative inspection ... that an officer‘s motive invalidates objectively justifiаble behavior under the Fourth Amendment; but we have repeatedly held and asserted the contrary. In United States v. Villamonte-Marquez, 462 U.S. 579, 584, n. 3, 103 S.Ct. 2573, 77 L.Ed.2d 22 (1983), we held that an otherwise valid warrantless boarding of a vessel by customs officials was not rendered invalid “because the customs officers were accompanied by a Louisiana state policeman, and were following an informant‘s tip that a vessel in the ship channel was thought to be carrying marihuana.” We flatly dismissed the idea that an ulterior motive might serve to strip the agents of their legal justification. In United States v. Robinson, 414 U.S. 218, 94 S.Ct. 467, 38 L.Ed.2d 427 (1973), we held that a traffic-violation arrest ... would not be rendered invalid by the fact that it was “a mere pretext for a narcotics search,” id., at 221, 94 S.Ct. 467, n. 1; and that a lawful postarrest search of the person would not be rendered invalid by the fact that it was not motivated by the officer-safety concern that justifies such searches, see id., at 236, 94 S.Ct. 467. See also Gustafson v. Florida, 414 U.S. 260, 266, 94 S.Ct. 494, 38 L.Ed.2d 427 (1973). And in Scott v. United States, 436 U.S. 128, 138, 98 S.Ct. 1717, 56 L.Ed.2d 168 (1978), in rejecting the contention that wiretap evidence was subject to exclusion because the agents conducting the tap had failed to make any effort to comply with the statutory requirement that unauthorized acquisitions be minimized, we said that “subjective intent alone ... does not make otherwise lawful conduct illegal or unconstitutional.” We described Robinson as having established that “the fact that the officer does not have the state of mind which is hypothecated by the reasons which provide the legal justification for the officer‘s action does not invalidate the action taken as long as the circumstances, viewed objectively, justify that action.” 436 U.S. at 136, 138, 98 S.Ct. 1717.
Whren v. United States, 517 U.S. 806, 812-13, 116 S.Ct. 1769, 135 L.Ed.2d 89 (1996) (parallel citations omitted).2 In other words, Baird‘s subjective motive is irrelevant here. An appellate court‘s finding of fact as to Baird‘s true purpose is, as always, inappropriate.
To be sure, the majority‘s inquiry and fact-finding concerning Baird‘s one truе motive demonstrate the wisdom of eschewing such inquiries. Baird‘s affidavit is mischaracterized as containing “deliberate falsehoods,” and it is suggested that “we know from Baird‘s own lips that he lied to the magistrate.” Neither assertion is supported by the record. Baird‘s seven-page affidavit contains a single, short sentence relating to purpose that is not inconsistent with an additional, unstated, underlying motive: “The purpose [of the evidentiary search warrant] is to obtain evidence of a crime that has already been committed, as will be specified later below,” i.e., the illegal sale of prescription drugs. Even accepting the inference of a hidden motive, the sentence plainly is not a falsehood,
The majority‘s exaggerations of the record to brand the officer as a liar are presumably found necessary bеcause Leon “confine[s] [the good-faith inquiry] to the objectively ascertainable question whether a reasonably well-trained officer would have known that the search was illegal despite the magistrate‘s authorization.” 468 U.S. at 922, 104 S.Ct. 3405 n. 23. To reason that the good-faith exception does not apply, the majority must characterize the affidavit as an outright and admitted lie in order to cast its analysis as a “purely objective inquiry” into the motive of the officer. Respectfully, the analysis is anything but objective.3 Moreover, it is appellate fact-finding.
At the very least, the majority should remand this case to allow the District Court to address, and make findings of fact concerning, Pope‘s claim on appeal that the warrant affidavit was recklessly false. The record reveals that the issue upon which the majority reverses the District Court‘s finding of good faith was never before the District Court. Even Pope‘s own motion to suppress cursorily addresses the good-faith exception in a short section arguing only and simply that the evidence should be suppressed because the warrant was supported only by a “bare-bones” affidavit, i.e., an affidavit “so lacking in indicia of probable cause as to render official belief in its existence entirely unreasonable.” Leon, 468 U.S. at 923, 104 S.Ct. 3405. Nothing in the record indicates that Pope argued to the District Court, before or after the suppression hearing, that the affidavit was recklessly false. The District Court properly rejected the bare-bones-affidavit argument, but because it was not presented with the claim of reckless falsehood in the supporting affidavit, it did not even think for a moment about the issue. Although the Government has not objected to the Defendant‘s untimely raising the issue on appeal, the majority has no license to engage in fact-finding and to seize upon this tardy and inappropriate argument to reverse the District Court on grounds not argued below.4
In sum, I respectfully dissent to the reversal of the District Court because of the majority‘s misapplication of the law, its mischaracterization of the record, and its engagement in appellate fact-finding.
