Mohammed Abuhamra, who is awaiting sentencing in the Western District of New York (Richard J. Arcara, Judge) on criminal charges of money laundering and dealing in contraband cigarettes, appeals from an April 22, 2004 order of that court denying his application for release on bail pursuant to 18 U.S.C. § 3143(a). The appeal presents a single question: whether a district court may rely on evidence submitted by the government
ex parte
and
in camera
to deny bail. We conclude that such submissions should generally not be entertained because they compromise a defendant’s due process right to a fair hearing on his bail application as well as the public’s interest in open criminal proceedings. We further conclude that an exception to this rule may be made only in rare cases where (1) the government satisfies the standard for closed criminal proceedings established in
Waller v. Georgia,
Background
I. The Crime of Conviction
Mohammed Abuhamra is a native of Yemen who has been a resident of the United States since 1975 and a citizen of this country since 1981. Until his remand on the order that is the subject of this appeal, Abuhamra had resided with his wife, mother, and nine children in Lacka-wanna, New York. On October 4, 1999, Abuhamra was arrested and charged with participating, together with various co-defendants, in a highly lucrative interstate scheme to traffic in contraband cigarettes. On March 3, 2004, after a jury trial in the Western District of New York, Abuhamra was found guilty on three counts of unlawfully dealing in contraband cigarettes in violation of 18 U.S.C. §§ 2342(a), 2344(a), and 2; and one count of conspiring to launder the proceeds of the aforementioned unlawful activity in violation of 18 U.S.C. § 1956(h). See United States v. Abuhamra, 99 CR 131 (W.D.N.Y.1999). Four co-defendants were simultaneously found guilty on the same or related charges.
II. Abuhamra’s Original Release on Bail
In the four-and-a-half year period between his arrest and trial, Abuhamra remained at liberty pursuant to a modest $20,000 secured bond. Within a month of his arrest, the Pretrial Services Department for the Western District of New York concluded that Abuhamra did not require active supervision while on release. Although Abuhamra’s bond prohibited him from leaving the Western District of New *315 York, the district court, on two occasions, granted extraordinary requests for intеrnational travel: in 2000, Abuhamra was permitted to make a pilgrimage to Mecca; in October 2003, he was permitted to travel to Yemen for more than three months to visit his dying father. In opposing the latter request, the government advised the district court that the facility where Abu-hamra’s father was reportedly hospitalized was non-existent, but defense counsel was apparently able to demonstrate that the government was mistaken.
III. Abuhamra’s Post-Verdict Remand
After verdict, the government promptly moved to remand Abuhamra and two of his four co-defendants pursuant to 18 U.S.C. § 3143(a)(1), which states in pertinent part:
[T]he judicial officer shall order that a person who has been found guilty of an offense and who is awaiting imposition or execution of sentence, other than a person for whom the applicable guideline ... does not recommend a term of imprisonment, be detained, unless the judicial officer finds by clear and convincing evidence that the person is not likely to flee or pose a danger to the safety of any other person or the community if released under section 3142(b) or (c). If the judicial officer makes such a finding, such judicial officer shall order the release of the person in accordance with section 3242(b) or (c). 1
In urging Abuhamra’s remand, the government relied on the presumptions of flight and danger created by this statute and on the defendant’s recent contact in Yemen with a fugitive co-defendant, Ali Abuhamra, Jr. This contact was inferred from photographs purportedly depicting Ali Abuhamra, Jr. that were found by Customs officials in defendant’s possession at the time of his January 2004 return to the United States from Yemen [hereafter “Yemen photographs”].
Opposing remand, Abuhamra’s counsel asserted that, once again, the government was mistaken as to the facts: the person depicted in the Yemen photographs was Ali Alshuibi, not Ali Abuhamra, Jr. Emphasizing defendant’s roots in the United States and his compliance with pre-trial conditions for international travel, counsel urged the court to continue his client’s release on bail. Rejecting the argument, the district court orally ordered Abuhamra’s remand but invited a written motion for reconsideration. 2
IV. The Motion for Reconsideration of Remand
The following day, March 4, 2004, Abuhamra filed a written motion for release on bail supported by the sworn affidavit of his 32-year old son, Ahmed Abuhamra, who, inter alia, identified the person depicted in *316 the Yemen photographs as Ali Alshuibi. Ahmed Abuhamra noted that he had an uncle named Ali Abuhamra living in Buffalo, New York, but that this uncle had no son named Ah Abuhamra, Jr. Ahmed Abuhamra suggested that the government might be erroneously applying the name “Ali Abuhamra, Jr.” to another relative, also named “Mohammed Abuhamra,” who, having been arrested on October 4, 1999, but thereafter released, was now in Yemen.
In its opposition memorandum, the government submitted that it was unnecessary for the court to resolve the parties’ tangled identification dispute about the person depicted in the Yemen photographs. It conclusorily argued that Abuhamra’s submission was simply insufficient to defeat the presumptions of danger and flight established by 18 U.S.C. § 3143(a)(1).
On March 11, 2004, the district court heard oral argument on Abuhamra’s bail motion. Defense counsel argued that the identification issue did need to be resolved because, without the inference originally drawn by the government from the photographs — -that Abuhamra had consorted with a fugitive while in Yemen — there was no reason to distinguish Abuhamra from the co-defendants who had been allowed to remain free on bail pending sentencing. Counsel reiterated that the person depicted in the Yemen photographs was Ali Al-shuibi, and he reported having provided the prosecutiоn with Alshuibi’s alien control number so that his identity could be confirmed. Further, counsel indicated that Alshuibi’s uncle, Koled Alshuibi, was in court and prepared to testify that his nephew was the person in the Yemen photographs.
The district court did not attempt to resolve the identity dispute. Neither did it rule as to whether it would otherwise find that Abuhamra had carried his burden for § 3143(a)(1) release. Instead, it inquired whether the government had any other reason for opposing Abuhamra’s bail application. The government proposed to submit ex parte and in camera an agent affidavit demonstrating Abuhamra’s “dangerousness.” 3 Tr. Mar. 11, 2004, 15. Asked by the court to articulate reasons for proceeding in this manner — “Is it to protect the identification of witnesses, is it a threat to a witness with serious bodily harm or death, does it involve national security” — the prosecutor replied, “[a]ll of the above.” Id. Asked whether the government could, at least, provide “a summary of the material that would give the defendant the gist” of the intended proffer “without compromising the identification of witnesses or national security,” the prosecutor replied, “I don’t feel that I can.” Id. at 16. Conducting a preliminarily ex parte review of the proffered affidavit, the court ordered Abuhamra remanded subject to further ex parte examination of the agent affiant.
That further examination took place on March 23, 2004, and the government has supplied this court (but not Abuhamra) with copies of the sealed twenty-five page transcript of this proceeding and the district court’s six-page sealed final order stating its reasons for denying Abuhamra’s motion for release on bail. The public order, which Abuhamra did receive, states simply: “For the reasons stated in the [sealed] Decision and Order, the Court *317 finds by clear and convincing evidence that the defendant will pose a danger to [the] community and a risk of flight, if he is released.” United States v. Abuhamra, 99 CR 131A (W.D.N.Y. Apr. 22, 2004). 4
At the time this order was entered, Abu-hamra’s sentencing was scheduled for June 2004. Because the parties disagree as to the proper calculation of the Sentencing Guidelines, the court has adjourned sentence several times apparently awaiting the Supreme Court’s decision in pending cases challenging the federal guidelines in light of
Blakely v. Washington,
— U.S. -,
Discussion
I. Jurisdiction and the Standard of Review
Although no judgment of conviction has yet been entered in this case, the district court’s order of detention qualifies as a final order that may be appealed directly to this court.
See
18 U.S.C. § 3145(c); 28 U.S.C. § 1291.
See also United States v. Berrios-Berrios,
In reviewing a detention challenge, we examine the district court’s factual determinations for clеar error.
See United States v. El-Hage,
II. Abuhamra’s Due Process Challenge to the District Court’s Reliance on the Government’s Ex Parte Submission in Denying Bail Pending Sentencing
In challenging the district court’s detention order, Abuhamra concedes that, having been found guilty beyond a reasonable doubt at trial of felony crimes, he has no substantive constitutional right to bail pending sentencing. We agree.
See generally Williamson v. United States,
A. The Parties’ Competing PosP-Ver-dict Interests in Liberty and Detention Require that Abuhamra Be Afforded Some Opportunity to Demonstrate that He Satisfies the Bail Release Conditions Established in § 3113(a)(1)
In considering what process, if any, Abuhamra was due in connection with his post-verdict bail application, we apply the analysis outlined in cases such as
Mathews v. Eldridge,
1. The Defendant’s Liberty Interest in Bail Pending Sentencing
The “private interest” affected by the challenged government action in this case is “the most elemental of liberty interests — the interest in being free from physical detention by one’s own government.”
Id.; see Jones v. United States,
The statute relevant to Abuhamra’s case, the Bail Reform Act of 1984, creates no general expectation of post-verdict liberty. To the contrary, it establishes a presumption in favor of detention.
See
18 U.S.C. § 3143(a);
see also
S.Rep. No. 225, 98th Cong., 1st Sess. 26 (1983),
reprinted in
1984 U.S.Code Cong. & Admin.News 3182, 3209 (“Once guilt of a crime has been established in a court of law, there is no reasоn to favor release pending imposition of sentence or appeal.”). To secure release on bail after a guilty verdict, a defendant must rebut this presumption with clear and convincing evidence that he is not a risk of flight or a danger to any person or the community.
See id.;
Fed. R.Crim.P. 46(c);
see also
S. Rep. 225,
supra,
at 27,
reprinted in
1984 U.S.Code Cong. & Admin. News at 3210 (“The Committee intends that in overcoming the presumption in favor of detention [in § 3143(a) ], the burden of proof rests with the defendant.”). While this burden is plainly substantial, if a defendant can make the required evidentiary showing, the statute establishes a right to liberty that is not simply discretionary but mandatory: the judge
“shall
order the release of the person in accordance with section 3142(b) or (c).”
Id.
(emphasis added). In sum, even though a guilty verdict greatly reduces a defendant’s expectation in continued liberty, it does not extinguish that interest. The language of § 3143(a) confers a sufficient liberty interest in continued release (on satisfaction of the specified conditions) to warrant some measure of due process protection.
See generally Wolff v. McDonnell,
2. The Government’s Interest in Detaining a Defendant Pending Sentencing
Against this individual liberty interest, we must, of course, weigh the govern *320 ment’s strong and obvious countervailing interest in detaining defendants who have been found guilty beyond a reasonable doubt of serious crimes: such detention promotes public safety by removing a presumptively dangerous person from the community; it also encourages general respect for the law by signaling that a guilty person will not be able to avoid or delay imposition and service of the sentence prescribed by law.
As to the former concern, we note that this was a critical motivating factor in the enactment of the Bail Reform Act of 1984.
See
S. Rep. 225,
supra,
at 26,
reprinted in
1984 U.S.Code Cong. & Admin. News at 3185 (“Many of the changes in the bail reform act ... reflect the committee’s determination that federal bail law must address the alarming problem of crimes committed by persons on release and must give the courts adequate authority to make release decisions that give appropriate recognition to the danger a person may pose to others if released.”). Thus, even in the pre-trial context, where a defendant’s liberty interest is undoubtedly stronger, the law recognizes that “the Government’s regulatory interest in community safety can, in appropriate circumstances, outweigh [that] liberty interest.”
United States v. Salerno,
The interest in ensuring that guilty persons receive and serve their sentences was also a significant impetus to the enactment of § 3143.
See
S. Rep. 225,
supra,
at 26,
reprinted in
1984 U.S.Code Cong. & Admin. News at 3209 (noting that “release of a criminal defendant into the community after conviction may undermine the deterrent effect of the criminаl law”);
see also United States v. Shoffner,
3. The Defendant’s Due Process Right to a Hearing at Which He Can Demonstrate that He Satisfies the Statutory Requirements for Bail Under § SlJpS(a)
In balancing these competing post-verdict interests to determine the process due to a defendant who seeks bail release pending sentencing, we are mindful that Congress has itself weighted the procedural balance quite decidedly in favor of the government. As already noted, 18 U.S.C. § 3143(a)(1) creates a presumption in favor of detention; it places the burden on the defendant to defeat that presumption; and it requires the defendant to carry that burden by clear and convincing evidence, not by a mere preponderance. Only if a defendant clears these high procedural hurdles is he entitled to release pending sentencing. From this statutory structure, however, we can conclude that the minimal process due a post-verdict defendant who seeks continued release pending sentencing is the opportunity to demonstrate that he satisfies the burden of proof established by § 3143(a)(1). In short, he
*321
is entitled to “some kind of hearing” at which this issue can be fairly resolved.
See
Henry J. Friendly,
Some Kind of Hearing,
123 U. Pa. L.Rev. 1267, 1296 (1975) (quoting
Wolff v. McDonnell,
The government does not argue to the contrary. Indeed, it appears to assume that the same basic procedural safeguards that are statutorily mandated with respect to a pre-trial bail hearing will also apply to post-verdict hearings, although § 3143 is silent on this point. See 18 U.S.C. § 3142(f)(2)(B) (stating that, at a pre-trial detention hearing, a defendant has the right to be represented by retained or appointed counsel, the right to testify, the right to call witnesses, and the right to cross-examine witnesses called by the government). 7
Instead, the government asserts that these procedural safeguards may be limited in those cases in which compelling reasons preclude the government from disclosing certain evidence to the defense but in which that evidence is relevant to the risk of flight or danger to the community presented by the defendant’s release. We think the government’s argument sweeps more broadly than due process allows.
Ex parte
submissions may generally
not
be received in opposition to bail release because such submissions compromise both a defendant’s due process right to a fair hearing and the public’s interest in open criminal proceedings. An exception to this rule may be made only in cases in which there is a compelling need to maintain the secrecy of certain evidence, no alternative means of meeting that need exist other than
ex parte
submission, and the court carefully limits its sealing order only to materials genuinely implicating the compelling need.
See generally Waller v. Georgia,
B. The Competing Interests with Respect to Ex Parte Bail Submissions
1. Abuhamra’s Due Process Interest in Notice of the Government’s Reasons for Opposing His Bail Application and an Opportunity to Respond
Because it is the defendant who, after verdict, bears the burden of proving that he satisfies the statutory requirements for release on bail, the government need not offer any evidence in opposition. It may simply argue that the defendant has failed *322 to carry his burden of proof. Had that occurred in this ease and had the district court denied Abuhamra bail on that ground, there would be no question that the defendant had received the process he was due under the law. In fact, however, the government did offer evidence in opposition to Abuhamra’s bail application, which evidence was received ex parte and relied on by the district court as the basis for its ruling denying bail. These circumstances raise due process concerns about whether the defendant received his right to a fair hearing.
In his concurring opinion in
Joint Anti-Fascist Refugee Committee v. McGrath,
Justice Frankfurter famously observed that “the right to be heard” before being forced to suffer a serious loss “is a principle basic to our society,” specifically, to its demоcratic commitment to “fairness,”
This right to notice and a fair hearing obtains regardless of whether the “case against” a defendant is presented on an issue on which the government bears the burden of proof or in opposition to a position on which the defendant bears the burden.
Cf. Wardius v. Oregon,
2. The Public’s Interest in Open Bail Hearings
The sealed record in this case means that not only is Abuhamra unaware of the reasons why he is deemed a risk of flight and a danger pending sentencing, but so is the public. This gives rise to a related concern: an ex parte proceeding deprives the public of an opportunity to see that justice was done in a matter that sent a person to jail, even if only temporarily.
The shared interest of the defendant and the public in open criminal proceedings enjoys constitutional protection, explicitly through the Sixth Amendment’s guarantee of public trials, and implicitly through the First Amendment’s guarantee of free speech and a free press.
See
U.S. Const., amend. I
&
VI;
Press-Enterprise Co. v. Superior Court of California (“Press Enterprise II”),
While the Sixth Amendment speaks only of a “public
trial,"
the Supreme Court has construed this right expansively to apply to a range of criminal proceedings, including jury selection,
see Press-Enterprise Co. v. Superior Court of California (“Press Enterprise I"),
3. The Government’s Interest in Proceeding Ex Parte in Opposition to Abuhamra’s Motion for Bail Pending Sentencing
In weighing the government’s competing interest, we note that, in the district court, three concerns were identified: disclosure to the defense of the evidence proposed for ex parte submission would (1) identify confidential witnesses, (2) threaten thе safety of those witnesses, and (3) involve the national security. We observe at the outset that the district court appears not to have relied on a national security rationale in making its sealed ruling. Our own review of the sealed record confirms that no such reliance was warranted: the ex parte information may have related to a national security concern, but disclosure of the evidence itself would not have compromised national security. 9 Significantly, none of the proffered evidence is classified “for reasons of national security” pursuant to the Classified Information Procedures Act. 18 U.S.C.A.App. 3 §§ 1-16 (West 2000 & Supp.2003). Had that been the case, we would be obliged to conduct a very different analysis of Abu-hamra’s due process claim than the one in which we here engage. 10 Instead, we review Abuhamra’s due process challenge recognizing that the government’s interest in this case is limited to the protection of its confidential witnesses’ identities and safety. 11
The government’s strong and legitimate interest in protecting confidential sources from premature identification is undeniable. Identification not only compromises the government’s ability to use such sourсes in other investigations, it may expose them to retaliation by those against whom they have cooperated. For these reasons, the law has long recognized an
*325
“informant privilege.”
See McCray v. Illinois,
We consider the “informant privilege” instructive in this case, notwithstanding the fact that here, the government declines to disclose publicly or to the defense anything about the ex parte hearsay evidence it supplied to the district court, asserting that such disclosure would identify the source of that evidence. Having reviewed the sealed record and, with the consent of defense counsel, questioned government counsel ex parte at oral argument, we are skeptical of the government’s claim that it would be impossible to provide the defense with any redacted summary in this case. 13 But even in such circumstances, that would not necessarily outweigh the serious due process concerns presented by a court ruling made entirely on secret evidence.
The discussion of the informant privilege in
McCray v. Illinois
strongly suggests that where confidential-source evidence is relied on in an adversarial proceeding, the law expects that there will be some opportunity to test the reliability of that evidence “in open court,”
In insisting that due process does not require similar disclosures in this case, the government points us to cases from our sister circuits or from district courts outside this circuit, notably
United States v. Accetturo,
Accetturo and Acevedo-Ramos do not, in fact, support the government’s position. These cases are distinguishable from the one before us in an important respect: neither involves an ex parte submission as the government’s sole basis for opposing bail release; rather, these cases consider the use of ex parte evidence to corroborate testimony offered in open court. In short, in these cases the defendants plainly had notice of the reasons why the government opposed bail release; what was withheld was certain corroborating evidence supporting those reasons.
Even in this narrower context, however, the Third Circuit in
Accetturo
concluded that an
ex parte
submission should not have been considered.
See
In
Acevedo-Ramos,
no
ex parte
evidence was, in fact, at issue. Instead, the First Circuit, in
dictum,
raised the possibility that, in limited circumstances, such evi
*327
dence might be considered to corroborate hearsay testimony given in open court to oppose bail release. In
Acevedo-Ramos,
a federal agent had given detailed hearsay testimony — based on undisclosed informant reports and wiretap intercepts — implicating the defendant in eight specific crimes, including murders, armed robberies, and obstruction of justice.
See United States v. Acevedo-Ramos,
[E]ven in an unusual ease, where the government provides strong special reasons for keeping its evidentiary sources confidential (e.g., protecting witness safety), the magistrate or judge, upon defendant’s request, can still test the veracity of the government’s testimony and the quality of the underlying evidence, by, for example, listening to tapes or reading documents in camera.
Id. at 208. 15
In thus approving ex parte review of corroborative evidence in “unusual case[s],” the First Circuit hardly endorsed what the government proposes in this case: providing no notice to a defendant as to the substance of its ex parte submission. To the contrary, the First Circuit’s qualified approval of ex parte submissions appears to be premised on a specific assumption that the defendant will have such notice because the sealed materials will mirror, in whole or in part, the hearsay account being testified to in open court.
We do not here mean to suggest that in camera presentation of evidence is often desirable or often permissible except in a very unusual case. Rather, we mean that in the very unusual case in which strong special reasons warrant confiden tiality — and where the defendаnt is apprised of the gist of the evidence through government testimony at the hearing — the magistrate’s independent, thorough in camera, review of the underlying evidence at defendant’s request offers the defendant greater protection than no independent check at all.
Id. at 209 (emphasis added).
The district court in
United States v. Terrones,
We too are disinclined to rely on the reasoning of
Terrones
in resolving this appeal. While we agree with its observation that the Bail Reform Act does not specifically preclude
ex parte
review of evidence,
see United States v. Terrones,
C. The Proper Balance of the Competing Interests Consistent with Due Process
1. The General Rule Against Ex Parte Submissions in Opposition to Bail Release
In balancing the competing interests affected by
ex parte
submissions in opposition to bail release, we agree with the First, Third, and Sixth Circuits that such submissions should generally not be received or considered by district courts.
See United States v. Accetturo,
2. The Nar)"ow Exception for Receipt of Ex Parte Evidence
Like our sister circuits, we do not foreclose the possibility that, on rare occasions, extraordinary circumstances might warrant receipt of ex parte evidence in opposition to bail release. We *329 conclude that the circumstances necessary to fit within this narrow exception are (a) satisfaction of the factors outlined by the Supreme Court in Waller v. Georgia to exclude the public from certain criminal proceedings, (b) disclosure to the defendant of the gist or substance of the government’s ex parte submission, and (c) careful scrutiny by the district court of the reliability of the ex parte evidence.
a. Borrowing the Waller Factors
As already noted, one consequence of the
ex parte
submissions in this case was to remove a significant portion of Abuhamra’s bail hearing from the public courtroom. In
Waller v. Georgia,
the Supreme Court identified four prerequisites to excluding the public from a courtroom during certain criminal proceedings: (1) “the party seeking to close the hearing must advance an overriding interest that is likely to be prejudiced,” (2) “the closure must be no broader than necessary to protect that interest,” (3) “the trial court must consider reasonable alternatives to closing the proceeding,” and (4) “it must make findings adequate to support the closure.”
The
Waller
test has much to commend it in this case. The government essentially concedes that the first factor must be present to support an
ex parte
submission in opposition to bail release, and the cases on which it relies agree.
See United States v. Accetturo,
As for the second and third
Waller
factors, the Third Circuit appears to have incorporated them in its requirement that “no alternative means” be available to meet the compelling government need.
United States v. Accetturo,
Where, as in this case, a defendant’s detention on an ex parte submission spans several months, the district court *330 should also require the government periodically to demonstrate the continued applicability of the first three Waller factors. 17 In some cases, additional time may well permit the government to corroborate confidential source evidence in a form that can be revealed publicly or, at least, to the defendant.
We do not discuss the fourth Waller factor because we are confident in the ability of district court judges generally, and certainly of the district judge in this case, to make the findings necessary to the other factors identified in this decision. We remand this case to the district court to consideration whether the government’s application to proceed ex parte satisfies these Waller-based factors. 18
b. The Defendant’s Entitlement to Notice of the Gist or Substance of the Government’s Opposition to Bail Release and the Opportunity to Respond
In borrowing the
Waller
factors, we recognize that they are intended to identify circumstances where the
public
may be excluded from a criminal proceeding.
Waller
did not contemplate that the
defendant
would alsо be denied access to the closed proceedings. Because
ex parte
submissions in opposition to bail have just this result, we conclude that the
Waller
factors, by themselves, are inadequate to safeguard a defendant’s basic due process rights to notice and a fair hearing. Thus, we conclude that a second prerequisite to the receipt of
ex parte
evidence in opposition to bail is disclosure to the defendant of the gist or substance of the reasons advanced in the government’s sealed submission so that the defendant may fairly meet this challenge.
See United States v. Acevedo-Ramos,
In the small universe of cases that will satisfy
Waller,
we expect an even smaller sub-set to present any difficulty with respect to disclosure of the substance
*331
of the government’s opposition. Where, as in
United States v. Ruggiero,
We note that the summary disclosure requirement identified in this decision finds a parallel in the Classified Information Procedures Act, which provides that when the government seeks to avoid a court order to disclose classified information, one option available to it is to move to substitute “a summary” of the information at issue.
See
18 U.S.C.A.App. 3 § 6(c)(1)(B). Similarly, the possibility that without at least summary disclosure the government would have to forego reliance on
ex parte
evidence finds some support in the law’s strict prohibition against consideration of
ex parte
information at sentencing.
See United States v. Corace,
Accordingly, on remand, the district court should not again consider the ex parte submission unless the government makes the required summary disclosure and the defendant is afforded an opportunity to respond.
c. Judicial Scrutiny of the Reliability of Ex Parte Evidence
If these first two criteria are satisfied, a final requirement obtains before
ex parte
evidence may be relied upon to deny a bail application: careful judicial scrutiny of the reliability of the sealed submission. In addressing the review obligations of prison hearing officers ordering inmate discipline based on
ex parte
evidence, this court recently emphasized that procedural “[f]airness cannot be achieved without some assessment of the reliability of the evidence offered against the accused.”
Sira v. Morton,
While the district court carefully considered many of these factors in making its initial ruling in this case, it may be appropriate to reconsider reliability on remand. We note that the ex parte allegations against Abuhamra, to the extent they purportedly evidenced a danger to the community, are of a sort that would not necessarily be eliminated by the defendant’s incarceration. For this reason, one might expect some corroborative evidence to have been developed in the five months since the court’s detention order. On remand, the district court may certainly seek more information on this point or any other matter pertinent to the reliability of the ex parte evidence. 20
Conclusion
To summarize, we conclude that a court should generally not rely on evidence submitted by the government ex parte and in camera in ruling on a criminal defendant’s application for release on bail. An exception to this rule may be made only in rare cases where (1) the government advances an overriding interest that is likely to be prejudiced by disclosure of the evidence at issue, (2) the order sealing thе evidence is no broader than necessary to protect that interest, (3) the district court considers reasonable alternatives to proceeding ex parte, (4) the court makes findings adequate to support an ex parte proceeding, (5) the government discloses the substance of its ex parte submission to the defense, and (6) the district court engages in heightened scrutiny of the reliability of the ex parte submissions.
The case is REMANDED to the district court for reconsideration of Abuhamra’s bail application in light of the standards of review identified in this decision.
Notes
. Section 3142(b) provides for pre-trial release on a personal recognizance or unsecured appearance bond. Section 3142(c) provides for pre-trial release on certain conditions.
. At the same time, the district court remanded two co-defendants: (1) Nagib Aziz, who the government accused of engaging in criminal conduct while on pre-trial release, including unlawful possession of an AR-15 semiautomatic weapon; and (2) Aref Ahmed, whom the government accused of financing the trips of five members of the “Lackawanna Six” to an al-Qaida terrorist camp in Afghanistan.
See generally United States v. Goba,
. We use the terms ex parte and in camera to emphasize that the government proposed to withhold its submission from the defendant as well as from the public. For the remainder of this opinion, when we employ the term "ex parte," we intend to convey that neither defendant nor the public had access to the evidence or proceedings under discussion.
. As the public statement indicates, the district court attempted to compensate for the fact that evidence was submitted ex parte by reversing the burdens of proof, requiring the government to demonstrate by clear and convincing evidence that the defendant, if released, was likely to flee or present a danger to any person or the community, rather than requiring the defendant to demonstrate that, if released, he would not flee or present a danger. Cf. Fed.R.Civ.P. 46(c). The government raised no objection to this procedure and does not challenge it on appeal.
. In light of
United States v. Mincey,
. This court need not here decide whether the substantive rights at issue in pre-trial detention originate in the Fourth Amendment's prohibition of unreasonable seizures or the Fourteenth Amendment’s guarantee of due process.
Compare Albright v. Oliver,
. Because the government does not urge otherwise, for purposes of this appeal, we too will assume that the procedures applicable to pre-trial detention hearings also generally obtain post-verdict. We note, however, that even in the pre-trial context, few detention hеarings involve live testimony or cross examination. Most proceed on proffers.
See United States v. LaFontaine,
. As we discuss infra at [30-31], the criminal law does permit ex parte submissions in support of arrest and search warrants, but in those circumstances, the secrecy of supporting affidavits is maintained only briefly, not indefinitely, as the government proposes in this case.
. The distinction we draw might best be demonstrated by reference to facts already in the public record in this case. The government publicly opposed the post-verdict bail release of a co-defendant on the ground that he had helped finance travel by other persons to al-Qaida camps in Afghanistan. The information related to a national security concern, but its public disclosure did not compromise that security.
. In CIPA, Congress itself established a framework for the disclosure (or non-disclosure) of classified information. See id. Thus, we would first have to review the parties' and the district court's compliance with these steps before considering any due process challenge to the statute.
.Although the government accepted the court’s use of the word "witnesses,” the sealed record indicates that it would be incorrect to infer therefrom that the government ever contemplated calling any person or persons who supplied the ex parte information to testify in any proceeding.
. We use the term "informant privilege” because the relevant case law in this area has developed largely in the context of protecting the identities of informants, not atypically paid informants. Our use of the phrase "informant privilege” is not intended to indicate that the unidentified confidential source in this case is, in fact, a paid informant. In this opinion, we use the words "informant” and “confidential source” interchangeably to refer to the wide range of sources — in and out of law enforcement, human and electronic— whom the government may seek to avoid identifying in particular cases. We recognize that the strength of the government interest in confidentiality may vary with the particular source at issue and the risks presented by disclosure.
. Because we remand this case for further proceedings, the district court may wish to review this exchange. Accordingly, we direct the government to order a transcript of oral argument, including its ex parte exchange with members of this panel, and to provide a copy of the full transcript to the district court. We unseal the record of oral argument for the limited purpose of allowing the government to arrange for preparation of such a transcript. We authorize the district court to maintain or lift the seal on the ex parte oral argument in this court as its further review of the case warrants.
. The government also cites us to
United States v. Cardenas,
. We note that the late Judge John R. Bar-tels appears to have pursued just the course recommended by Judge Breyer in ruling on post-verdict bail applications by defendants Gene Gotti and John Carniglia in
United States v. Ruggiero,
. Where, as in this case, the government seeks to proceed ex parte and not simply in camera, the court should specifically consider alternative means to give the defendant access to the sealed information even if no satisfactory alternatives for public disclosure can be identified.
. District courts routinely follow a similar practice in supervising electronic interceptions, requiring the government to submit reports, often at ten-day intervals, "showing the need for continued interception." 18 U.S.C. § 2518 (emphasis added).
. Depending on the compelling need at issue, a court may also consider whether defense counsel, at least, might be heard in the
in camera
proceeding as to the necessity of proceeding
ex parte,
the scope of the proposed sealing order, and the availability of reasonable alternatives to sealing.
See generally Morgan v. Bennett,
. In
United States v. Accetturo,
. In this case, the district court, on remand, may wish to pursue with the government a point that arose during our brief ex parte exchange with the prosecutor at oral argument: the government’s apparent failure to use an obvious investigative tool to corroborate the danger concerns raised in its ex parte submission.
We recognize, of course, that in some cases where a defendant’s words or actions are more indicative of recklessness than a serious intent to do harm, a district court may nevertheless consider such reckless behavior in assessing whether defendant presents a risk of flight.
