Juan Salinas, convicted on both conspiracy and substantive counts of possession with intent to distribute heroin, has alleged that he was twice put in jeopardy for the same offense. 1 In briefing the double jeopardy issue, defendant Salinas’ counsel argued that Rule 48(a) of the Federal Rules of Criminal Procedure had been infringed. Because we find an infraction of Rule 48(a), we do not reach the constitutional question of double jeopardy.
I. Background
On May 6, 1980, Juan Salinas and Margarito Rodriguez Zamorano were named as co-conspirators in a four-count indictment alleging various drug-related offenses. 2 Initially, both defendants pleaded not guilty. Rodriguez subsequently pleaded guilty to a single cоunt pursuant to a plea bargain.
On September 22, 1980, a jury panel consisting of twelve jurors and two alternates was selected to hear Salinas’ case. During jury selection, the trial judge conducted a thorough examination of all potential jurors. 3 After each attorney exercised the right to strike certain members of the jury panel, а panel of twelve jurors and two alternates was selected. The jury was not sworn, but was given instruction to report for trial on October 1, 1980.
On the appointed date, October 1, 1980, both Salinas and the Government appeared in court ready for trial. The court then conducted a hearing, out of the presence of the jury, to determine whether Salinas was mentally competent to stand trial. Satisfied that the defendant was competent to stand trial, the court indicated that the trial was to ensue. After this hearing and still out of the presence of the jury, four witnesses were sworn; the Rule was invoked, requiring all witnesses to remain outside the courtroom; the judge ruled that the Government’s сase agent could remain in the courtroom during the entirety of the trial; finally, the judge denied Salinas’ request that the Government’s case agent be required to testify first. The court then took a brief recess prior to the presentation of evidence.
On October 7, 1980, a superseding four-count indictment against Salinas was filed. This second indictment was substantially similar to the first. The only difference of any significance in the second indictment was the naming of Rodriguez as a “co-conspirator, but not a co-defendant.” 4
The arraignment on the second indictment occurred approximately one week later, on .October 16, 1980. At the arraignment, which was before a magistrate, there was some concern whether the defendant understood the nature of the offense charged, and the Gоvernment’s prosecuting attorney stated: “He knows exactly what he is charged with and he went to trial the other day on a very similar charge .... We have him down here on a writ, and he knows exactly what he is charged with here.” Significantly, the Government’s attorney then continued:
Your honor, this is a superseding indictment. We were fixing to go to trial, and we did not go tо trial because there were some people on the jury that knew him, and we were fixing to have a hearing and the judge was going to excuse them, but in the meantime I filed a motion to dismiss the indictment, and we superseded, because I wasn’t about to go to trial under the circumstances. That’s what happened.
It was on the second indictment thаt the jury returned a verdict of guilty on all four counts.
II. Rule 48(a)
This case presents a question under Rule 48(a) of the Federal Rules of Criminal Procedure because the good faith of the prosecutor in moving to dismiss the first indictment is at issue. Rule 48(a) requires a prosecutor to obtain leave of court in order to terminate a prosecution by dismissal of an indictment. The first sentence of Rule 48(a) provides that “[t]he Attorney General or the United States attorney may by leave of court file a dismissal of an indictment, information or complaint and the prosecution shall thereupon terminate.” The question before this Court is whether the Government had a reason that will support dismissal under Rule 48(a).
A. The “Leave of Court" Requirement
This Court has grappled with the interpretation of the “leave of court” requirement of Rule 48(a) before.
5
Without going into detail, a brief historical sketch would provide some background for our analysis.
6
At common law, the prosecutor had the unrestricted authority to enter a
nolle
prosequi
7
without the consent of the court at any time before the empaneling of the jury. A preliminary draft of Rule 48 adopted the common-law rule, adding the requirement that the prosecutor state his reasons for seeking a dismissal. The Supreme Court, however, added the words “leave of court” and deleted the require
This prosecutorial harassment involves charging, dismissing, and subsequently commencing another prosecution at a different time or place deemed more favorable to the prosecution.
United States v. Ammidown,
B. The Standard of Review
Because the prosecutor is presumptively the best judge of where the public interest lies, the initial determination of the public interest is for the prosecutor to make. Neither the trial court nor this Court on aрpeal can substitute its judgment for the prosecutor’s determination or can second guess the prosecutor’s evaluation.
United States v. Hamm,
In viewing the leave of court requirement in Rule 48(a) as a check on the absolute power of the executive branch, this Court stated: “The Executive remains the absolute judge of whether a prosecution should be initiated and the first and presumptively the best judge of whether a pending prosecution should be terminated. The exercise of its discretion with respect to the termination of pending prosecutions should not be judicially disturbed unless
C. The Prosecutor’s Motivation
In applying this standard of review to the facts of the instant case, this Court begins with the presumption that the prosecutor acted in good faith in moving to dismiss the first indictment. That presumption is rebutted upon a showing of a lack of good faith. We turn to the record for evidence of the prosecutor’s motivation. In the first place, the prosecutor in this case surely gave the district court nothing more than a “mere conclusory interest” — a superseding indictment would be sought — as a basis for dismissal of the indictment. With full recognition that the burden is not on the prosecutor to prove that dismissal is in the public interest, this Court determines that such an unsupported conclusory reason as the seeking of a superseding indictment is insufficient in and of itself to support a dismissal under Rule 48(a). The prosecutor abused the confidence of the district court by offering the seeking of a superseding indictment as a “reason” for dismissal. Crediting the Government with a good faith motive, the district court grаnted the motion to dismiss. 18
It was not until the arraignment on the second indictment that the lack of good faith on the part of the Government first became evident. At that time the prosecutor stated: “We were fixing to go to trial, and we did not go to trial because there were some people on the jury that knew him, ... I wasn’t about to go to trial under thе circumstances.” This statement by the prosecutor raised a clear inference of absence of good faith on the part of the Government — an inference the Government never attempted to rebut either in its brief or in oral argument to this Court. In fact, when asked during oral argument before this Court if it was the Government’s position that thе reasons for dismissal of the first indictment were as given in the record, the Government attorney responded, “I would assume so, your honor, ... I would certainly assume that it was the case.”
The reflection of the record is specific and dramatic. The Government was simply displeased with the selected jury because
III. Conclusion
The record in this case reveals sufficient evidence to overcome the presumption that the Government made the motion to dismiss the indictment in good faith. Faced with discоntent with the jury as the Government’s sole reason for dismissal, this Court has no choice but to vindicate the purpose of Rule 48(a) to protect the defendant’s rights. The record on appeal exposed that the true reason for dismissal was in derogation of defendant Salinas’ rights. After the district court placed its confidence in the Government by granting the motion to dismiss the indictment, the Government’s lack of good faith became evident. Because of the improper motives of the Government in moving to dismiss the first indictment, the conviction is reversed.
REVERSED.
Notes
. Salinas also raised two other points of error: (1) that he did not have effective assistance of counsel and (2) that the prosecutor’s references to an accomplice’s guilty plea constituted reversible error. Because we reverse on the basis of Fed.R.Crim.P. 48(a), we do not reach the merits of Salinas’ primary contentions.
. Count I — conspiring to possess with intent to distribute a quantity of heroin. Counts II and III — knowingly and intentionally distributing certain quantities of heroin. Count IV — knowingly and intentionally possessing, with intent to distribute, a quantity of heroin.
.The Government’s brief portrays the process as follows:
During jury selection, the trial judge conducted a lengthy and exhaustive examination of all the potential jurors, inquiring into the backgrounds of the panel and the relationship, if any, between the individual panel members and the interested parties in the case. At the conclusion of the examinаtion, the judge accorded the Government’s representative an opportunity to question the panel, but the prosecutor declined. The Government also declined to challenge any of the potential jurors for cause, but did exercise its right to strike certain members of the jury panel.
. The Government never argued, either in thе trial court or before this Court, that there was any substantive difference in the indictments.
.
United States v. Hamm,
. For a more detailed history of the “leave of court” requirement,
see United States v. Cowan,
. That is, to declare he would not prosecute.
.
See Cowan,
. Although in
Rinaldi v. United States,
. Id.
. The only controversy is whether the rule also encompasses protection of the public interest.
See, e.g., In re Washington,
. The dissent in
Cox
was in full agreement with the majority that “Rule 48(a) was primarily intended to authorize the court to protect defendants.”
Cox,
. Although Rule 48(a) did not apply to the case at bar, the Court in Ammidown found it useful by analogy in a disсussion of the respective roles of judge and prosecutor.
. Most of the cases talk in terms of the public interest test,
i.e.,
whether the prosecutor’s decision to terminate the prosecution was “clearly contrary to the manifest public interest.”
See, e.g., Rinaldi,
.Rinaldi,
. Hamm, at 631 n. 23.
. The District of Columbia Circuit in United States v. Ammidown stated:
[T]he cоurt will not be content with a mere conclusory statement by the prosecutor that dismissal is in the public interest, but will require a statement of reasons and underlying factual basis.... The rule contemplates exposure of the reasons for dismissal “in order to prevent abuse of the uncontrolled power of dismissal previously enjoyed by prosecutors,” and in pursuance of this purpose “to gain the Court’s favorable discretion, it should be satisfied that the reasons advanced for the proposed dismissal are substantial.”
.The only affirmative reason the district court had to believe that the dismissal motion was motivated by considerations contrary to the public interest was the absence of anything other than a conclusory reason for dismissal.
. The dissenting opinion in Parr v.
United States,
. Id. at 338.
. Double jeopardy jurisprudence has recognized the need to protect the interest of an accused in retaining a chosen jury.
See Crist v. Bretz,
.
In re Washington,
.
Parr,
