UNITED STATES of America, Appellee, v. Martinho RODRIGUES, a/k/a Thoey, a/k/a Tho, Defendant, Appellant.
No. 15-1377
United States Court of Appeals, First Circuit.
March 1, 2017
Kelly Begg Lawrence, Assistant United States Attorney, with whom Carmen M. Ortiz, United States Attorney, was on brief, for appellee.
Before TORRUELLA, SELYA, and THOMPSON, Circuit Judges.
THOMPSON, Circuit Judge.
A Massachusetts jury failed to reach a unanimous verdict on a multiple count indictment charging Martinho Rodrigues with conspiring with 29 others to distribute assorted drugs in several Boston area neighborhoods. Rather than face a repeat trial, Rodrigues opted to plead guilty to Count One, conspiracy to distribute marijuana in violation of
Background
In the summer of 2011, the Federal Bureau of Investigation (“FBI“) and the Boston Police Department (“BPD“) initi
The first order, on August 8, 2012, authorized the interception of target telephones #1 and #2 (“TT1” and “TT2“), which were known to be used by Hidalgo. The wiretap expired on September 7, 2012—thirty days after its authorization—and the wiretap application and affidavit in support of the application were sealed until further order of the court. On September 5 and 7, the district court granted the government‘s motions to seal the resulting recordings from the wiretap and to postpone inventory notice1 to targeted subjects until further order of the court for all communications intercepted.
The second order was granted on September 25, 2012. The government sought and was granted authorization to intercept target telephones #3 and #4 (“TT3” and “TT4“)—both known to be used by Hidalgo and Dasilva in furtherance of the drug-trafficking offenses. Like the first wiretap, the September 25 wiretap was to expire thirty days after its authorization on October 25, 2012. Unlike the first wiretap, however, the government did not immediately request to seal the resulting recordings or postpone inventory notice from the second wiretap by the date of its expiration. Instead, on October 24, 2012—a day before the September 25 wiretap was slated to expire—the government submitted a third wiretap application in which it sought authorization of a new target, telephone #5 (“TT5“), as well as the continued interception of TT3 and TT4 that had initially been granted in the September 25, 2012 order (and slated to end October 25, 2012). The district court granted the government‘s request, for thirty days. On November 27, 2012—four days, or two business days, after the October 24 order expired—the district court granted the government‘s motion to seal the recordings and postpone inventory notice until further order of the court for all communications intercepted on TT3, TT4, and TT5.
On December 21, 2012 the government submitted its fourth and final wiretap application. In that application, the government sought to renew its interceptions of TT3, TT4, and TT5, and also sought to intercept communications from a final target telephone #6 (“TT6“). The district court granted the government‘s motion. Both the renewals of TT3, TT4, and TT5 and the initial interception of TT6 were all set to expire—again, 30 days after their authorization—on January 20, 2013. On January 18, 2013 the court granted the government‘s motion to seal the resulting recordings and postpone inventory notice on communications intercepted pursuant to the December 21, 2012 order.
As a result of the government‘s investigation, Rodrigues, along with 29 co-defendants, was charged with conspiracy to distribute cocaine base, cocaine, oxycodone, and marijuana in violation of
In pretrial proceedings, Rodrigues filed a motion to suppress evidence obtained pursuant to the issued wiretaps. In that motion, Rodrigues raised four arguments, namely, that: (1) the government deliberately and in bad faith omitted him as a target subject and as an identifiable person overheard on all four wiretap applications in violation of
With regard to Rodrigues‘s bad faith claim, the court found that he failed to make a credible case for his contention that the government deliberately failed to list him in the wiretap applications. Specifically, the district court found that a purposeful violation in a case like this, where there was a “30-plus defendant criminal conspiracy” and “there was almost complete compliance with subsection 8(d) [of Title III],” was extremely unlikely. In denying his motion, the court found that Rodrigues had not demonstrated any actual “prejudice resulting from the violation” and that he pointed to no real evidence in the record to substantiate that the violation was an intentional one.
With regard to Rodrigues‘s claim that the government‘s applications failed to meet the Title III necessity requirement (i.e., that other investigative techniques would not have succeeded), the district court found that the “details [of the initial wiretap affidavit were] extensive and persuasive, and certainly, [as our case law requires,] ‘minimally adequate’ to support the authorization of a wiretap.” The court also found that the affidavit in support of the government‘s application sufficiently stated the unfulfilled goals of the investigation which necessitated the wiretap and, citing United States v. Martinez, 452 F.3d 1, 6 (1st Cir. 2006), that those goals were “nearly identical to those accepted as valid by the First Circuit in the face of an identical challenge.”
With regard tо Rodrigues‘s claim that the recordings from the September and October wiretaps were not timely sealed, the district court found that the October wiretap order was in fact an extension of the September wiretap order and that “a two business-day delay [did] not violate
With the district court finding the wiretap evidence admissible, Rodrigues proceeded to trial on March 2, 2015. However,
Discussion
Before delving into the merits of Rodrigues‘s claims, some brief background on the general setup of the federal wiretap statute might prove helpful. “Title III provides a comprehensive scheme for the regulation of electronic surveillance, prohibiting all secret interception of communications except as authorized by certain state and federal judges in response to applications from specified federal and state law enforcement officials.” Dalia v. United States, 441 U.S. 238, 249 (1979). Indeed, “Congress enacted Title III of the Omnibus Crime Control and Safe Streets Act of 1968 with the stated purpose of ‘(1) protecting the privacy of wire and oral communications, and (2) delineating on a uniform basis the circumstances and conditions under which the interception of wire and oral communications may be authorized.‘” United States v. Cartagena, 593 F.3d 104, 108 n.1 (1st Cir. 2010) (quoting Gelbard v. United States, 408 U.S. 41, 48 (1972)). And where law enforcement authorities fail to comply fully with the requirements of Title III, suppression may be merited if “the communication was unlawfully intercepted; the order of authorization or approval” under which it was intercepted is insufficient on its face; or the interception was not made in conformity with the order of authorization or approval.
Before us, Rodrigues reprises the same four arguments he made below. We address each argument in turn, keeping in mind our well-rehearsed standards of review. The district court‘s factual findings and credibility determinations get clear error scrutiny. United States v. Lyons, 740 F.3d 702, 720 (1st Cir. 2014). “To find clear error, an inquiring federal court must form a strong, unyielding belief, based on the whole of the record, that a mistake has been made.” United States v. Siciliano, 578 F.3d 61, 67-68 (1st Cir. 2009) (quoting In re Grand Jury Investigation, 545 F.3d 21, 24 (1st Cir. 2008)). “We affirm under the clear error standard ‘if any reasonable view of the evidence supports’ the district court‘s finding.” Id. at 68 (quoting United States v. Rivera-Rivera, 555 F.3d 277, 283 (1st Cir. 2009)). We review the court‘s legal conclusions de novo. Lyons, 740 F.3d at 721; see also United States v. McLellan, 792 F.3d 200, 212 (1st Cir. 2015) (“Our review of the district court‘s dеnial of [defendant‘s] motion to suppress is bifurcated: we review its findings of fact for clear error and apply de novo review to the application of law to those facts and to conclusions of law.“) (citations omitted).
A. “Bad Faith” Omissions
Rodrigues claims that the government deliberately omitted him as a target subject as required under
Under
Nevertheless, we have also held that “suppression should be required when the statutory violation arose from a conscious decision by the federal authorities to violate the law and prevent an individual or group of individuals from receiving the post interception notice.” United States v. Harrigan, 557 F.2d 879, 884-85 (1st Cir. 1977). In addition to volitional governmental bеhavior, we have also indicated that “suppression is an appropriate remedy when a defendant can show that the failure to serve an inventory notice caused him actual prejudice and that the prejudice which resulted cannot otherwise be cured.” Id. at 884.
Here, even if we assume, as it appears the district court did, that the government should have listed Rodrigues as a target subject,3 the mere failure to
Indeed, a reasonable view of the evidence supports the district court‘s conclusion that a purposeful violation is extremely unlikely. This case bears a striking resemblance to Harrigan, where we noted:
In cases like the one at bar where there was almost complete compliance with subsection 8(d), a purposeful violation is extremely unlikely. By transmitting the names of 26 of the 27 identifiable persons whose conversations were overheard, the government demonstrated an awareness of its statutory duty and, at least, a general desire to satisfy it. We think it exceedingly imprоbable that the government would have deliberately violated its statutory duty only as to defendant.
Here, the government listed 27 of the 30 defendants indicted as target subjects in its wiretap applications. Like Harrigan, we find it improbable that the government would have deliberately omitted only three defendants, including Rodrigues, to no gain. See id. And other than the fact of the omission, Rodrigues points to no other evidence supporting his bad faith claim.
Rodrigues also proffers no explanation of how he was prejudiced outside of his bald assertion that the government intended to circumvent his Title III inventory notice rights. However, the record reflects, and Rodrigues does not seriously dispute, that the issuing judge, based on the ongoing nature оf the government‘s investigation, delayed inventory notice to
B. Necessity
Next, Rodrigues argues that in all four wiretap applications, the government failed to show necessity as required by Title III. The “necessity” requirement obliges the government to include in its wiretap application “a full and complete statement as to whether or not other investigative procedures have been tried and failed or why they reasonably appear to be unlikely to succeed if tried or to be too dangerous.”
Upon review, we are satisfied with the applications’ minimal adequacy. FBI special agent Matthew C. Knight filed an 82-page affidavit in support of the first wiretap application on August 8, 2012, which detailed the government‘s investigation efforts up until that point. The affidavit:
- spelled out the numerous traditional investigative methods utilized, including physical and video surveillance, confidential witnesses and informants, search warrants, controlled purchases, pen registers, trap and trace devices, and toll record analysis;
- explained why other traditional investigative methods, such as undercover agents, grand jury subpoenas, and trash searches were not utilized and were believed unlikely to prove successful; and
- explained that the wire interceptions were necessary to “fully identify all of the Target Subjects” and their co-conspirators, as well as their suppliers of firearms and controlled substances.
So too are the three remaining wiretap applications—granted on September 25, October 24, and December 21—which contain similar supporting information from the affiant, FBI agent Matthew C. Knight. The subsequent applications also provide detailed accounts of communiсations intercepted as a result of the preceding wiretaps—including a detailed list of calls received to and from the target telephones which supported the agent‘s finding of probable cause.
Having reviewed the applications and supporting affidavits in this case, we find no flaws in the district court‘s determination that the facts spelled out in the applications were at least minimally sufficient to support its grant of wiretap intervention. See Ashley, 876 F.2d at 1073. The government‘s affidavit is adequate if it indicates a reasonable likelihood that alternative techniques would fail to expose the crime. The government meets this burden here.4
C. Sealing
Rodrigues also argues that the government did not timely present communications intercepted from the September and October wiretaps for sealing as the wiretap statute requires. Under
According to Rodrigues, the September 25 wiretap was not extended by the October 24 wiretap and the September recordings needed to be sealed upon expiration of the September wiretap on October 25, 2012. Assuming this timeline is correct, by Rodrigues‘s count, there was a 33-day delay in the sealing of the September wiretap recordings, which were not sealed until November 27, 2012. The government counters that the October order was an extension of the September order and thus the expiration date for both orders (and the accompanying target telephones) was November 23, 2012.
The parties agree that the motion to seal the October 24 wiretap was filed late—it expired on November 23, 2012, but the initial recordings requested in that wiretap were also not sealed until November 27, 2012. By Rodrigues‘s count, this resulted in a four-day (or two-business-day) delay in thе sealing of the October 24 recordings. Rodrigues argues that the lack of strict adherence to the sealing requirements of Title III mandated suppression. The government counters that the district court did not err in its finding that a two-business-day delay did not violate the requirements of Title III because the expiration date fell on the Friday after Thanksgiving and the recordings were kept in a secure location.
Section 2518(8)(a) provides no definition for what constitutes “immediately.” See
In determining whether the government‘s explanation is satisfactory, we consider inter alia: (1) whether, by clear and convincing evidence, the government has established that the integrity of the tapes has not been compromised; and by a fair preponderance of the evidence (2) whether the government has demonstrated that the delay in presenting the tapes for judicial sealing came about in good faith, which requires a showing that the defendant was not prejudiced by the delay and that the government did not benefit unfairly from the lack of immediacy; (3) the length and frequency of any particular delay; and (4) the cause of the delay. See id. at 867-69 (The government must “carry the burden of proving the continued integ
In our review of “the question of whether the government‘s explanation for the absence of a seal that complies with the requirements of section 2518(a) is ‘satisfactory,‘” we accept “the district court‘s supported subsidiary factual findings, but appl[y] de novo review to whether those facts were satisfactory under the newly announced test [in United States v. Mora, 821 F.2d 860, 869-70 (1st Cir. 1987)].” United States v. Burgos-Montes, 786 F.3d 92, 104 (1st Cir.), cert. denied, — U.S. —, 136 S.Ct. 599, 193 L.Ed.2d 479 (2015).
Here, accepting the district court‘s subsidiary findings, we conclude that the government has presented a satisfactory explanation for its delay. First, there is no indication in the record, nor does Rodrigues suggest, that the integrity of the tapes has been compromised or tampered with in any wаy. And “[w]hile the burden of proof is on the government, this does not mean the government must prove a negative” when the defendant does not allege tampering. Burgos-Montes, 786 F.3d at 104. Second, Rodrigues does not argue, nor is there support in the record of, bad faith on the part of the government. Additionally, there is no evidence of any prejudice to Rodrigues or unfair benefit to the government as a result of the delay in sealing.
Next, with regard to the length of the delay, the district court concluded that the October order served as an extension of the September order and that the resulting delay in sealing for both orders was thus two business days. We accept the district court‘s factual finding. See id. (noting that “we accept[ ] the district court‘s supported subsidiary factual findings“). The October 24 affidavit in support of the government‘s application made clear that the government sought the “continued interception” of TT3 and TT4, as well as the “initial interception” of TT5. Both the extension requests for continued interception of TT3 and TT4, as well as the initial application for interception of TT5, sufficiently supported the district court‘s factual finding that the October order served as an extension of the September order.
We also agree with the district court that, given the holiday weekend and the maintenance of the recordings in a secure location, such a two-business-day delay does not raise concerns over the integrity of the rеcordings. As we expressed in Mora, “[t]he longer the delay, the greater looms the danger of adulteration; the longer the delay, the harder it may become to show, say, good faith or the absence of undue prejudice. And the lengthier the delay, the more difficult to find the government‘s explanation ‘satisfactory.‘” Id. at 868. The two-day delay here raises no such concerns where the recordings were kept safe and secure in a password-protected location throughout the duration of the delay over the holiday weekend, the government received no unfair advantage, and Rodrigues has demonstrated no prejudice. See Mora, 821 F.2d at 870 (noting that “[a]lthough we eschew rigid adher
With regard to the cause of the delay, the government does not make clear why the delay occurred. The district court attributed the government‘s delay to the holiday weekend. When considering the cause of the delay, “[w]e ask, among other things, was the statutory requirement ignored deliberately or inadvertently?” Id. at 869. Here, while it is unclear why the government did not file for sealing until two business days after the expiration of the October wiretap, there is no indication of “gross dereliction of duty or wilful disregard for the sensitive nature of the activities undertaken by means of the order[s].” Id.
D. Hearing
Lastly, Rodrigues argues that thе district court should have held a “hearing” to address his claim that the government acted deliberately and in bad faith when it omitted him from the wiretap applications.
Below, Rodrigues asked specifically for a Franks hearing, but he did so by merely joining in his co-defendants’ motions—mentioning in a perfunctory one-liner at the end of his motion to suppress that he “join[ed] in and adopt[ed] his co-counsel‘s motions to the extent applicable, including ... [their] Request for [a] Franks Hearing.” Notwithstanding the form of the request, the district court responded and rejected his argument, finding that he “failed to provide any proof of falsehood, let alone reckless or material falsehood, in the affidavit, which [was] presumptively valid.”
Rоdrigues renews his should-have-had-a-hearing argument on appeal, but it is unclear from his brief whether he is now claiming that the district court erred in not holding, specifically, a Franks hearing, or more generally some other type of evidentiary hearing.5 Consistent with his effort below, Rodrigues spends little time developing any supportive argument here; rather he cursorily tells us that the judge should have “held a hearing to explore further the bad faith of the government agents.” Thus, he can fare no better with us. The argument is deemed waived. See United States v. Zannino, 895 F.2d 1, 17 (1st Cir. 1990); see also Rando v. Leonard, 826 F.3d 553, 557 (1st Cir. 2016) (finding an appellant‘s argument waived when at the district court she raised the argument in a single sentence in her opposition brief and then on appeal raised the argument in a footnotе of her appellate brief) (citing Armistead v. C & M Transp., Inc., 49 F.3d 43, 45 n.2 (1st Cir. 1995)).6
Conclusion
For the foregoing reasons, we affirm the district court‘s denial of Rodrigues‘s motion to suppress and its denial of his request for a hearing.
THOMPSON
CIRCUIT JUDGE
