Robert Kiszewski appeals from a judgment of conviction on five counts for making false statements to two grand juries and a trial jury, 18 U.S.C. § 1623, before which he testified during an extortion prosecution of two other persons. Appellant was tried before a jury and then-Chief Judge John T. Curtin in the United States *212 District Court for the Western District of New York, and received a five-year sentence on each count, to run concurrently. Kiszewski argues on appeal that (1) the district court erred in dismissing the original indictment against him without prejudice, rather than with prejudice, for violations of the Speedy Trial Act, 18 U.S.C. § 3161 et seq., (2) he was denied a fair trial and (3) the district judge erred in his materiality rulings. For reasons set forth below, with one exception we affirm the rulings of the district court. The exception concerns a ruling denying in camera inspection of the personnel files of one witness, and as to that we remand for a further hearing.
I. Background
In April 1985, Kiszewski contacted the office of the Federal Bureau of Investigation (FBI) in Buffalo and met with Special Agent John P. Culhane, Jr. to discuss Kisz-ewski’s betting activities with a bookmaker. Kiszewski said that he owed the bookmaker a substantial sum and that the latter had been threatening Kiszewski in order to get him to pay his debt. The FBI thereafter began an investigation into the activities of Nicholas A. “Sonny” Mauro and Dennis Okun, on which Kiszewski worked as an undercover informant for the government, taping phone conversations and meetings with Mauro and Okun. At some of these meetings, Agent Culhane accompanied Kiszewski.
In July 1985, Kiszewski testified before a grand jury that indicted Mauro and Okun shortly thereafter for, among other things, using extortionate means to collect an extension of credit, in violation of 18 U.S.C. § 894. Kiszewski told the grand jury that he had originally placed the bets on his own and that later Okun started to threaten and scare him, which led to his contacting the FBI. In December 1985, after a falling out with the FBI, Kiszewski gave a recorded statement to Mauro’s and Okun’s attorneys, describing the events in a manner that created an inference of entrapment. Thereafter, they gave the transcript of the statement to the government. Kiszewski was therefore called before another grand jury in March 1986, at which time he testified that the FBI was involved during the entire time that he was betting, not just after he received threats. Mauro and Okun were reindicted, and when they were tried, Kiszewski testified for the defense. Mauro and Okun raised the defense of entrapment and were acquitted on all counts in June 1986. Kiszewski’s changed testimony as to the sequence of events obviously benefitted the defense.
In October 1986, Kiszewski was indicted on the false statement charges that led to this appeal. However, shortly before the case came to trial, Kiszewski moved to dismiss the indictment for violation of the Speedy Trial Act. In May 1988, Judge Curtin granted the motion and dismissed the indictment without prejudice. In the following month, Kiszewski was reindicted on the same counts, for testifying falsely before the second grand jury on March 6, 1988 (counts one and two), for testifying falsely at the Mauro and Okun trial (counts three and four) and for giving inconsistent testimony before the two grand juries (count five). At Kiszewski’s trial, the two FBI agents implicated in the alleged entrapment by Kiszewski’s testimony at the Mauro and Okun trial, Agent Culhane, and his supervisor, Special Agent Dean G. Naum, testified for the prosecution. Their testimony tended to show that the FBI was not involved in the Mauro and Okun investigation prior to the time when Kiszewski reported to the FBI that he had run up gambling debts and was being threatened.
The government offered no testimony as to count five, but merely introduced the allegedly contradictory transcripts of the two grand jury proceedings. Kiszewski testified in his own defense, and his testimony contradicted the agents’ testimony and closely paralleled his testimony at the Mauro and Okun trial. The jury found Kiszewski guilty on all five counts. This appeal followed.
II. Discussion
A. Speedy Trial
Appellant’s principal claim is that the district court abused its discretion in allow *213 ing the government to reprosecute him after the first indictment against him had been dismissed for violation of the Speedy Trial Act. He argues that the judge either failed to consider or improperly weighed the factors in 18 U.S.C. § 3162 when deciding whether or not to dismiss the indictment with prejudice.
The Speedy Trial Act requires that an indictment be dismissed if defendant is not brought to trial within the time limits specified in 18 U.S.C. § 3161. 18 U.S.C. § 3162(a)(2). Section 3161(c) allowed the government 70 days of nonexcludable time to commence trial after Kiszewski was arraigned on the first indictment in October 1986. In moving to dismiss that indictment, Kiszewski calculated 200 days of nonexcludable time, a calculation that the government does not now dispute. Some of this time was delay that the government had successfully urged the magistrate to exclude after the period had passed, contrary to the law of this circuit, which prohibits a court from granting an ends-of-justice exclusion unless it balances the factors specified in § 3161(h)(8) of the Act at the outset of the period to be excluded.
United States v. Tunnessen,
In passing the Speedy Trial Act, Congress left it to the district courts to decide whether to dismiss an indictment with or without prejudice to reprosecution, instructing courts to “consider, among others ... the following factors: the seriousness of the offense; the facts and circumstances of the case which led to the dismissal; and the impact of a reprosecution on the administration of [the Act] and on the administration of justice.” 18 U.S.C. § 3162(a)(2). This language is obviously broad and the listed factors, as the statute indicates, are not exclusive. This gives a district court considerable discretion. A recent Supreme Court decision makes clear, however, that this discretion is not unbounded. In
United States v. Taylor,
— U.S. -,
When the indictment was dismissed in May 1988, Judge Curtin did explain why the dismissal was without prejudice. He pointed out that the offense charged was a serious one, which weighs against dismissal with prejudice. See, e.g.,
United States v. Simmons,
The order of dismissal preceded the Court’s decision in Taylor by about six weeks. After Taylor was handed down, Kiszewski requested the district court to reconsider its decision to dismiss the indictment without prejudice. In denying the motion for reconsideration, the district court addressed the statutory factors directly:
*214 First, the seriousness of the charges contained in the indictment weighs heavily in favor of dismissing without prejudice, since perjury strikes at the heart of the integrity of the judicial system. Second, there is no evidence of either bad faith or a pattern of neglect by the United States Attorney. Moreover, the length of the delay attributable to the government was extremely short, and the defendant has not even alleged that he was prejudiced in any way by the delay. Third, allowing the government an opportunity to repro-secute the defendant would, on balance, have a favorable impact on the administration of justice. As noted above, perjury is an extremely serious offense, and the defendant has not even alleged any prejudice. Moreover, as noted by the Supreme Court, “[dismissal without prejudice is not a toothless sanction ... ”; the government’s case often suffers substantially because of the time required to obtain a new indictment, (citations omitted).
Thus, the district judge considered all of the factors listed in the Act — with one possible exception discussed below — in deciding to dismiss the indictment without prejudice. Appellant argues that the district court’s conclusion on every statutory factor was wrong, but our inquiry is not whether we agree with Judge Curtin’s assessment of each factor but only whether he abused his discretion. The portion of the Act leaving the decision as to whether or not to dismiss with prejudice to the discretion of the district court was a compromise, without which the Act would not have been passed, and, as the Supreme Court has noted, “Congress did not intend any particular type of dismissal to serve as the presumptive remedy for a Speedy Trial Act violation.”
Taylor,
The district judge obviously regarded the crime here as a serious offense. He not only said so, but imposed a five-year sentence. The characterization is ordinarily true, since false testimony strikes at the heart of administering the criminal law. In this case, the falsity was particularly damaging because Kiszewski complained to the FBI in the first place and involved the government in a lengthy investigation and prosecution that he later nullified. It also seems that the facts and circumstances leading to the dismissal were not egregious; it was an oversight that no order pursuant to
Tunnessen
was procured during the period when the parties were discussing a possible conflict on the part of Kiszewski’s first attorney. While we do not encourage neglect by the prosecutor, we have said before that “where the violation of the Act was unintentional and the resulting delay was not overly long, and where appellant has not presented evidence of prejudice, we do not believe that the administration of justice would be adversely affected by reprosecution.”
Simmons,
*215
Citing
United States v. Stayton,
It is disquieting that so many of our recent Speedy Trial Act opinions are in cases coming from the Western District. Certainly, if the prosecutors in that district had paid attention to
Tunnessen
in this case, there would not now be such a strong suggestion of a pattern of neglect. However, we believe that a district judge, particularly when he is the Chief Judge of the district as Judge Curtin then was, is in a better position than we are to know whether the prosecutors need to be sent “a strong message.”
Taylor,
B. Fair Trial
1. Impeachment Evidence
In May 1988, defense counsel demanded, pursuant to
Brady v. Maryland,
During an in camera discussion between the court and counsel on the first day of trial, the prosecutor stated that Agent Cul-hane’s files contained no Brady material, and that Agent Naum’s file contained complaints against him, one “to the effect that Mr. Naum was on the take,” and one for appearing as a witness without the FBI’s permission, and some other allegations. The prosecutor reported that the FBI exonerated Naum on the first complaint, issued a letter of reprimand on the second and deemed the other allegations unfounded. The court then refused to compel either an in camera review of the personnel files, or disclosure of such files to the defense.
Kiszewski contends that it was error for the court to refuse to compel disclosure of Naum’s file because the information it contained may have been helpful for impeachment purposes. In this case, where the jury’s verdict turned on the credibility of the witnesses, Kiszewski argues that such information may have been very important. He also claims that, compounding the prejudice, the prosecutor argued in summation that Agent Naum was a credible witness because of his long service to the FBI. The government responds that the allegations against Naum were ten years old, and *216 therefore would not have been useful as impeachment evidence, that they were only allegations, and that at the in camera conference counsel was informed about them and thus could have cross-examined Naum without having seen the file.
We agree with appellant that it was error for the district court to refuse to compel production of Naum’s personnel file for in camera inspection based solely on the representations of the government. The law is clear that
Brady
and its progeny require that the government disclose material impeachment evidence. See
United States v. Bagley,
Because we, like the district court, have only the government’s description of the allegations contained in Agent Naum’s file and have not seen the file itself, we do not know whether the information, if disclosed, might have created a reasonable probability that the outcome of the trial would have been different. If the information creates such a probability, then the information is material and falls under the
Brady
rule. See
United States v. Agurs,
2. Polygraph Testimony
During the trial, in the course of direct examination of Agent Culhane, but in response to a question from the court, Cul-hane stated: “The sum and substance of it, your Honor, [i]s I accused [Kiszewski] of not telling me the truth and that I wanted him to take a lie detector test. He refused and that was pretty much the end of our relationship.” A few moments later, apparently even though defense counsel had made no specific objection to the reference to a lie detector, the district court ordered the response stricken from the record, and stated: “There is no requirement that Mr. Kiszewski or anyone else be required to take a lie detector test under these circumstances .... Whether he refused to take a lie detector test on some other occasion has nothing to do with the issues here.”
Appellant argues that the mere mention that Kiszewski refused to take a lie detector test was so prejudicial that he was denied a fair trial. The government responds that because the testimony related to a peripheral issue, was not the result of prosecutorial misconduct and was followed by a cautionary instruction, the error was harmless.
There is apparently no clear authority in this court on this issue, but other circuits that have reviewed references to polygraphs have not resorted to a rule that reversal is automatically required, but have analyzed the prejudice and determined whether the reference was harmless error. See, e.g.,
United States v. Stackpole,
Kiszewski refused to take a lie detector test when Culhane suspected that Kiszewski was lying about a matter not directly at issue in this case. In addition, Culhane’s testimony was in response to a question by the court, not by the prosecutor, so there can be no claim that the *217 prosecutor was engaged in some kind of misconduct. Also, defense counsel’s apparent failure to make an immediate, specific objection indicates that the reference did not have a strong impact on the listener. Finally, in a trial that consumed over 1200 pages of transcript, the reference was an isolated statement, the effect of which was neutralized by the district court’s strong and timely corrective instruction. Although the agent should not have mentioned the polygraph, on this record we believe that any error was harmless beyond a reasonable doubt.
3. Prosecutor’s Summation
Appellant argues that the prosecutor’s summation was misleading and improper, and therefore deprived him of a fair trial. The prosecutor argued to the jury that it must either believe the FBI agents or the defendant, and that if it believed the defendant, it must conclude that the FBI agents were lying. Appellant claims that these comments were error, principally for the following reasons: because the prosecutor framed the issue as whether the jury believed the defendant’s testimony, he created the impression that the defendant had the burden to show that he was truthful; the prosecutor created the impression that there was a fundamental inconsistency between the stories of the defendant and the agents when there was not such an inconsistency; and the prosecutor led the jury to believe that someone must have deliberately lied.
The prosecutor’s remarks came perilously close to telling the jury that in order to acquit, it must conclude that the agents were lying, a form of argument we have repeatedly cautioned is improper. See
United States v. Richter,
Appellant relies heavily on
United States v. Richter,
C. Materiality Rulings
Appellant argues that the district court erred in various rulings on the materiality of the alleged false statements. Counts one and two charged Kiszewski for falsely testifying before the grand jury investigating Mauro and Okun as to the date upon which the FBI began its investigation of them. Appellant claims that this date could only have been material to the grand jury if it had been presented — which it was not — with the possibility of an entrapment defense. Therefore, appellant claims, the date was irrelevant to the grand jury and *218 his testimony regarding the date was not material. Appellant also argues that the date could not have been material on the theory, which the indictment alleged, that the date enabled the grand jury to assess the credibility of Agent Culhane. Appellant claims that if the date was irrelevant, then any inconsistency between his testimony and that of Culhane on that issue was inconsequential and necessarily not material to the grand jury’s inquiry. Kiszewski argues, therefore, that counts one and two should be dismissed.
As to counts three and four, which were based on Kiszewski’s testimony at the trial of Mauro and Okun, Kiszewski argues that they should be dismissed because instead of separately specifying different falsehoods, the indictment lists pages of Kisz-ewski’s testimony. The claim is that if any statement in that testimony was not material, and some are not, then the counts must be dismissed. Finally, Kiszewski contends that count five must be dismissed because it charged him with offering contradictory evidence regarding whether he was placed in fear by the threats of Mauro and Okun, an immaterial matter because the victim’s fear is irrelevant under the extortion statute.
To violate § 1623, the false declaration must be material, but materiality is a matter of law for decision by the trial judge. Therefore, this court reviews, de novo, any questions of materiality.
United States v. Mancuso,
Kiszewski’s statements regarding the timing of the FBI’s involvement were material because a grand jury should be able to find out how the government became involved in investigating a possible crime, and whether the government’s involvement rises to the point where the accused should not be indicted. It is true that the second grand jury indicted Mauro and Okun despite Kiszewski’s false testimony as to the timing of the FBI’s involvement. But this testimony could have convinced the grand jury that Mauro and Okun did not commit any crimes and was, therefore, material. Indeed, the grand jury asked the Assistant United States Attorney about the matter. Similarly, on count five, regardless of whether the victim’s fear is an element of the crime, the grand jury could certainly have considered the victim’s fear in determining whether he had been threatened, and the threats were the principal focus of the investigation. Therefore, the false statements in count five were material under the standard in this circuit.
As to counts three and four, the government argues that appellant did not make question-by-question objections in the trial court, and thus did not preserve the issue for appellate review.
United States v. Bonacorsa,
Finally, appellant argues that the district judge should not have told the jury that he had already ruled on materiality in the government’s favor because the jurors understood such an instruction to mean that the judge had already determined that the statements were very important, and the jurors were therefore less likely to believe that inaccuracies in the testimony were merely mistakes. This argument is without merit. In order for the jury to know that it had to decide on the elements of the offense, but not materiality, it was proper for the judge to tell the jury that he had already resolved the materiality issue. See
United States v. Glantz,
Affirmed in part, remanded in part for further proceedings consistent with this opinion.
Notes
. It is arguable that the district court’s reference to the effect of reprosecution on "the administration of'justice” was meant to refer as well to its effect on administration of the Act.
