UNITED STATES of America, Appellant, v. Clarence Paul ROBERTS and Linwood Lee Lloyd, Appellees.
No. 85-5122.
United States Court of Appeals, Fourth Circuit.
Argued Sept. 13, 1985. Decided June 16, 1986.
791 F.2d 334
The majority lightly disregards these decisions with a conclusory observation that “verbatim repetition of the language of a previous decision does not guarantee that a jury instruction properly states the standard....” Unless we intend to require clairvoyance by trial judges, I fail to see how else a district court in this Circuit is to determine the law except by reliance on this Court‘s clearly expressed opinions.2 The majority‘s decision effectively overrules Hall, King and Turner and, thereby appropriates unto itself the power properly exercised only by this Court sitting en banc. In my view, a panel may not, in the guise of distinguishing existing authority, distinguish it out of existence.
Although I believe that the majority‘s assault on the doctrine of stare decisis is sufficient alone to render its decision fatally defective, I also disagree with its conclusion that the “shocking to the conscience” language sets an unconstitutionally high threshold for section 1983 liability. The use of force against a resisting pretrial detainee is subject to privilege and entitled to the judicial deference due the decisions of individuals charged with maintaining control of detention facilities. Bell v. Wolfish, supra. If federal courts are to avoid improperly turning state tort law into a source of section 1983 liability, Baker v. McCollan, 443 U.S. 137, 99 S.Ct. 2689, 61 L.Ed.2d 433 (1979), then juries must be given clear guidance on the higher level of misconduct necessary to raise a constitutional claim. Whether the Hall formula-
tion at issue here stated the actual constitutional standard or simply described the level of state conduct necessary to violate the standard as suggested in Kidd, supra, makes little practical difference. Under either analysis, the jury in this instance was properly informed that section 1983 liability requires behavior more egregious than that normally needed to sustain a state tort claim. I see no error in that instruction.
In a misguided effort to establish what it designates as a “clear, accurate and evenhanded statement of the constitutional standard” the majority tramples upon unequivocal precedent in this Circuit. The result is not only a doubtful statement of the law, but also a severe and demoralizing impediment to the orderly operation of the district courts. I respectfully and emphatically dissent.
John F. DePue, Washington, D.C., (John Stuart Bruce, Asst. U.S. Atty., Samuel T. Currin, U.S. Atty., Raleigh, N.C. on brief), for appellant.
J. Randolph Ward, Durham, N.C., for appellees.
Before PHILLIPS and MURNAGHAN, Circuit Judges, and BUTZNER, Senior Circuit Judge.
JAMES DICKSON PHILLIPS, Circuit Judge:
The issue is whether under
We hold that disclosure of co-conspirator statements may be ordered in appropriate cases, and that on the record before the district court, that court did not err in ordering disclosure and imposing the suppression sanction here. We therefore affirm, and remand for further proceedings, but we do so without prejudice to the district court‘s power, if so disposed, to entertain and consider a motion by the Government to reconsider the suppression order
I
This appeal arises from one of a series of three related indictments returned during 1984 and 1985 in the Eastern District of North Carolina, that charged one Douglas Freeman Ross and others, including the appellees Roberts and Lloyd, with various offenses centered upon or growing out of Ross’ alleged masterminding and direction of illegal drug operations. The central offenses charged were those of Ross and others that directly related to importation and distribution of illegal drugs. The appellees here, Roberts and Lloyd, were only charged, in one of the indictments, with offenses related to Ross’ efforts to conceal his illicit drug proceeds in buying two pieces of real estate. Specifically, appellee Roberts was charged, along with Ross as co-defendant and others not indicted, with conspiracy to obstruct justice by participating in sham real estate purchase transactions designed to conceal Ross’ use of the illicit proceeds; both appellees Roberts and Lloyd were charged, along with Ross, with related substantive obstruction offenses; and both appellees Roberts and Lloyd were charged with making false statements to the grand jury in connection with its investigation of the real estate transactions.
Before return of the central indictment in which Roberts and Lloyd were charged along with Ross and others, the Government moved that it be filed under seal, citing “witness security problems.” The district court granted the motion.
After all the indictments had been filed, the Government moved to consolidate the three for trial on the basis of their interrelatedness. Before this motion was ruled upon, Ross became a fugitive, and the motion was withdrawn.
After Roberts and Lloyd entered pleas of not guilty to the charges against them, they filed motions for discovery pursuant to
Mr. Roberts’ request for statements of his Co-Defendants is based upon the right given the accused in Rule 16 to obtain his own statements, and the underlying purpose of that provision. Where, as in this case, a conspiracy is alleged and the acts and statements of one defendant are sought to be imputed to another for the purpose of determining guilt, that purpose is served by disclosure of co-defendant‘s statements.
The Government filed a written opposition to the discovery motion arguing, inter alia, that
A magistrate directed the government to make the disclosure requested. Upon appeal of the magistrate‘s order to the district judge, counsel for the government maintained that the magistrate‘s order was contrary to the plain language of
On the authority of Jackson, the district court affirmed the magistrate‘s discovery order. Specifically to obtain immediate review of that order, Government counsel informed the court that the Government would not comply with the order and invited the imposition of sanctions, notwithstanding the court‘s expressed willingness to consider the government‘s contention that disclosure should not be ordered because of special circumstances involving witness security. The district court then entered an order that because of the government‘s refusal to comply, “all statements of co-defendants which might be imputed to the defendants under a conspiracy theory shall be suppressed at the defendants’ upcoming trial.”1
From that suppression order, the government appealed under
II
We adhere to our ruling in Jackson on the point here in issue, and we take the opportunity presented by this appeal to elaborate to some extent upon the earlier ruling.2
We observe at the outset that the Government apparently takes the extreme position that under the controlling rules it may not be compelled under any circumstances to disclose before trial co-conspirator statements, whether or not the co-conspirators will testify as Government witnesses at trial.3 In the Government‘s view, the only possible source for such discovery,
Specifically, says the Government,
Furthermore, the argument goes, the Jencks Act, allowing discovery of government witness statements only after the witness has testified on direct examination should properly be read to apply to co-conspirator statements embodied in Jencks Act statements of third-party government witnesses, thereby providing a further prohibition against the pre-trial discovery of such statements in that embodied form.
Though most courts that have considered the matter hold that the statements of co-conspirators who are “prospective government witnesses” are not discoverable before trial because of the Jencks
This is more than a matter of mere tit-for-tat logic. If there were only that, we should be constrained by the powerful principle that it is not our function to re-write plain legislation to make it more logical, or fit, or fair.
Here, however, there is sufficient textual and practical interrelation between
On that basis, we think that construing
The special danger of unfair surprise from undisclosed false, or falsely attributed, co-conspirator statements is now heightened by two related legal principles. The first is that, as a matter of national law, the government may now be able routinely to shield weak or vulnerable co-conspirators from cross-examination by introducing through others their statements inculpating the defendant; unavailability is not a constitutional or statutory condition to the admission of their hearsay statements under
The second related principle, expressly applicable in some circuits and arguably in this one, is that co-conspirator statements are admissible under
In combination, if pre-trial discovery were never allowable, these related rules would permit the ready introduction of false or falsely attributed statements of co-conspirators of whose existence the defendant had no prior knowledge, thereby insuring no opportunity to impeach or counter except by a continuance obtained in mid-trial.
To suggest this is of course not to intimate that the Government would knowingly introduce either perjured or innocently false testimony about co-conspirator statements. It simply recognizes the reality that by definition co-conspirator declarations and informer testimony are frequently infected with a degree of duplicity and mendacity concealed as well from the Government as from others.
We therefore conclude that the phrase, “statements made by the defendant,” as it appears in
We also conclude, since the issue is raised by the Government, that the Jencks Act,
III
Apparently in order to press for an absolute rule against any pre-trial disclosure, the Government declined to seek in the district court a protective order, as it might have under
On this appeal, as indicated above, the Government continues to press for such an absolute rule of non-disclosure. In doing so, the Government suggests that our decision in Jackson imposed at the other extreme an absolute rule of compulsory disclosure.
This, for whatever reason, mis-reads the Jackson decision, which expressly stated that disclosure was compelled only if it “does not unnecessarily reveal sensitive information,” Jackson, 757 F.2d at 1491. More fundamentally, it ignores the “protective and modifying orders” provision of
In support of its proposed absolute rule against any pre-trial disclosure and by way of challenge to the absolute rule of compulsory disclosure which it wrongly ascribes to Jackson, the Government suggests a number of adverse consequences if disclosure is required. Because they involve further misreadings of Jackson and in order to clarify that decision for future application, we discuss several of these.
First off, the Government suggests that the “Jackson rule” will allow discovery of oral statements made by co-conspirators in the course of the conspiracy even though comparable statements made by the defendant himself would not be discoverable. This is said to be so because Jackson disregarded the condition upon
This implies a specific consequence not expressly mandated by the Jackson decision. We now expressly disavow it. The co-conspirator statements which may be discovered under
While, by definition, oral statements of a co-conspirator made in furtherance of a conspiracy, “which the government intends to offer in evidence [under
This disposes of the Government‘s suggestion that the “Jackson rule” authorizes wider discovery of co-conspirator than of defendant “statements.” It also disposes of the related suggestion that in order to comply with the “Jackson rule” the Government must depose all “potential witnesses concerning the declarations of co-conspirators” so that it may preserve them “in a discoverable form.” Of course, the Government is under no greater obligation to preserve in any particular form the statements of co-conspirators than it is to preserve those of defendants. The Rule simply speaks to what is discoverable as of the time of a request for discovery.
The other destructive consequence the Government would read into the “Jackson rule” is equally without substance. It is that by absolutely compelling disclosure of co-conspirator statements, it would “be likely to subject [the prospective witnesses to co-conspirator declarations] to threats, intimidation, and bribery.” If the Jackson rule, as here elaborated, compelled disclosure under any and all circumstances, the Government‘s expressed concern would be fully justified. But, as indicated, and as Jackson plainly contemplated, disclosure is not absolutely compelled. The courts are empowered to limit it, condition it, or absolutely prohibit it in the interests of witness security or any other compelling reason, under
Finally, the Government suggests that under the “Jackson rule,” as it read it, an intolerable administrative burden would be imposed upon it in complying with requests or orders for disclosure of co-conspirator statements. Much of the Government‘s recital of difficulties is scotched by the proper interpretation of Jackson we have elaborated here. What remains is simply the undoubted difficulty, administratively and tactically, that attends the requirement of any Government pretrial disclosure of materials under
Without attempting to anticipate every practical difficulty or to lay down any general guidelines for practice, we may project the following general method of Government response. Upon a request for disclosure of co-conspirator statements, the
Aside from the possibility of seeking the protective order, the Government may also make tactical decisions that will avoid the need for pre-trial disclosure. As here interpreted, disclosure need only be made if the co-conspirator is not a prospective Government witness. No compulsion exists for disclosure of co-conspirator statements if the co-conspirator is a prospective Government witness, thereby coming under Jencks Act protection. Such tactical decisions may be made progressively. An original decision to use the co-conspirator as a Government witness, resulting in immediate non-disclosure, could be reexamined, and sanctions avoided by later disclosure.
IV
In sum, we decline to read
We therefore affirm the district court‘s suppression order and remand for further proceedings. In view, however, of the clarification and elaboration of Jackson that we have undertaken here, we affirm without prejudice to the Government‘s right, if so disposed, to move upon remand for reconsideration of the suppression order and for a protective order, and without prejudice to the power of the district court, if so disposed, to entertain and consider any such motions in light of this opinion. As to whether the district court should reconsider and if so how it should rule, we express no opinion.
AFFIRMED.
MURNAGHAN, Circuit Judge, concurring:
With what Judge Phillips has written in the majority opinion I have in general no disagreement. Indeed, except, for its final paragraph, allowing the Government to convert the decision into an advisory opinion, the consequences of which it can entirely escape, now that the opinion has proven unfavorable to the Government, my instinct is to applaud. However, I feel constrained to express my doubts that there was jurisdiction for the Fourth Circuit to express itself at all.
The effort of the Government was to manufacture grounds for an immediate review of an order which properly it could appeal from only by suffering dismissal of the proceeding. The suppression of the co-conspirator statements which might be imputed to the defendants, Roberts and
In Kane, the district court‘s order did “not purport to suppress or exclude evidence. Rather it merely requires the disclosure of certain information.” Id. at 5. Here the situation is similar to that in Kane. The district court ordered compliance with a magistrate‘s discovery order. There is no indication it, in the normal course, had any intention of suppressing or excluding evidence. In order “to obtain immediate review of that Order, Government counsel informed the court that the Government would not comply with the order and invited the imposition of sanctions. Majority opinion, p. 583. This procedure contravenes
The proper course here would have been for the Government, in due course, to have refused to disclose and have appealed after dismissal of the indictment by the district court. See United States v. Jackson, 508 F.2d 1001, 1005 (7th Cir.1975). The Government was apparently unwilling to pursue such a course, though other parties, in general, have no other course if they wish to appeal in the middle of a case. Given the limitations on our jurisdiction, I believe we should not countenance the Government‘s attempt to make an end run around orderly procedures of appeal and I would have found we were without jurisdiction to hear the appeal.
