MEMORANDUM OF DECISION AND ORDER
On Aрril 9, 2014, the Government filed a 78-count criminal indictment against the Defendant William Scully, also known as “Liam Scully” (“Scully” or “the Defendant”), and codefendant Shahrad Rodi La-meh (“Lameh”)(collectively “the Defendants”).
The Government charged the Defendants, as owners and operators of Pharma-logical, Inc. d/b/a Medical Device King and MDK (“Pharmalogical”) with, among other counts, violating the Federal Food, Drug, and Cosmetic Act, 21 U.S.C. § 301 et seq. (the “FDCA”), by trafficking in prescription drugs unapproved by the federal Food and Drug Administration (“FDA”), “mis-branded” drugs, and counterfeit oncology drugs.
While the Indictment sets forth 73 counts, it is only 35 pages long, with a description of the Defendants’ alleged scheme only encompassing 5 pages and with the enumeration of the counts encompassing 23 of those pages.
On October 16, 2014, on referral to United States Magistrate Judge Steven I. Locke, Lameh entered a guilty plea to Counts 1 through 37 of the Indictment, including one count of conspiracy to distribute “misbranded” drugs. He did not plead guilty to introduction of “misbrand-ed” drugs into interstate commerce; receipt of “misbranded” drags in interstate commerce and delivery thereof for pay; fraudulent importation and transportation of goods; or trafficking in counterfeit oncology drugs.
On October 20, 2014, this Court accepted that guilty plea recommendation. Lameh is currently scheduled to be sentenced on September 18, 2015.
On February 5, 2015, Scully moved for an order (1) striking all counts based on the erroneous notion that a violation of FDA regulations can create criminal liability; (2) suppressing all emails and other evidence obtained through search warrants due to the Government’s material misstatements and omissions in the search warrant affidavits and the constitutionally impermissible way that the Government executed the warrants; (3) dismissing count 73 of the Indictment; (4) dismissing count 72 of the Indictment; and (5) directing further discovery and a bill of particulars, which are necessary for defense counsel to prepare its case; and for other such other and further relief as the Court deems just and proper.
On May 15, 2015, the Court held oral argument on the motion, after which the Court reserved .decision and scheduled jury selection for Tuesday, January 5, 2016. Scully agreed to a waiver of his speedy trial rights from May 15, 2015 through January 5, 2016.
For the reasons set forth, the Defendant’s motion is denied except to the extent the Court grants the requests for the discovery enclosed by the Government in its motion papers; the discovery it represents it will provide; any recorded conversations with Courtney Fitt; and a Bill of Particulars as described below. The Court will now address each part of the instant motion.
I. BACKGROUND
The following facts are drawn from the indictment, the record of the proceedings before the magistrate judges that issued the search warrants, and the parties’ submissions in connection with this motion. See United States v. Sanchez, No. 08-CR-
A. The May 2012 Affidavits in Support of the Office Search Warrants
In May 2012, the Government took steps to procure a search warrant for the offices of Pharmalogical and MDK, located at 425 Northern Boulevard, Suite 27, in Great Neck, New York. In support of an application for a search warrant of Pharmalogical and MDK’s offices, the Government filed an affidavit sworn to and signed under oath by FDA Special Agent Thomas S. Nasiatka (“Nasiatka”).
In that affidavit, Nasiatka stated that based upon an FDA investigation, Phar-malogical and MDK “have been ordering and receiving foreign drugs including cancer and chemotherapy medications such as aloxi, aredia and altuzan as well as botox and related drugs. It has been further determined that these foreign drugs have been sold and/or administered to, among others, cancer patients without their knowledge.” (Doc No. 44, Exh. 20., at ¶ 4.).
Nasiatka described the background of the underlying investigation. Nasiatka stated that, on February 18, 2011, hе met with representatives of the New York State Department of Education, Office of Professional Discipline (“OPD”) in Haup-page, New York, who referred a case to the FDA for investigation. As detailed in the affidavit, an unidentified complainant to the New York State Board of Pharmacy advised that he or she had received an unsolicited fax from MDK “offering oncology and rheumatology medications for sale at prices unavailable in the traditional market.” (Id. at ¶32.) That fax, which provided MDK’s contact number as (877) 321-5567, was attached to Nasiatka’s affidavit.
Thereafter, according to Nasiatka’s affidavit, a New York State Board of Pharmacy representative, acting in an undercover capacity, phoned MDK at (877) 321-5567 and was advised to call (516) 439-5376. The caller was allegedly told that MDK was affiliated with Pharmalogical, a licensed drug wholesaler in New York State. The undercover caller inquired as to how MDK could sell the advertised drugs at the prices offered. According to Nasiatka, the undercover caller was told, among other things, that MDK could offer these prices as it “had no sales force and shipped the drugs from overseas, as the company itself was located in the United Kingdom.” (Id. at ¶ 33.).
Following this telephone exchange, an OPD representative, also acting in an undercover capacity, phoned MDK at (877) 321-5567, left a message, and was later contacted by an individual who identified himself as Shahrad Rodi Lameh. (Id. at ¶ 34.) When asked about the discount prices, Lameh allegedly responded, among other things, that “these prices could be offered because they purchased drugs from manufacturers all over the world, except Canada.” (Id.).
OPD then attempted to conduct a site inspection of Pharmalogical, which was licensed with OPD, at the Great Neck office. After OPD investigators could not speak to the Defendant because he was unavailable, the Defendant apparently called the investigators and confirmed that Pharmalogical sold “chemo drugs” and that he would provide requested supporting invoice and shipping documents. (Id.). However, according to Nasiakta, Scully never provided these requested documents. (Id.)
Nasiatka further stated that, on February 23, 2011, he accessed the website for the New York State Division of Corporations and confirmed that, on August 24, 2004, Pharmalogical was registered as a domestic business corporation in Suffolk
Nasiatka also stated that, on February 23, 2011, he accessed the websites for Pharmalogical, www.pharmalogicalinc.com and for MDK, www.medicaldeviceking. com. (Id. at ¶38.) The Pharmalogical website offered for sale the advertised supplement “Fibrosolvé” and the dermal fillers “Botox” and “Surgiderm.” (Id.) The MDK website indicated that MDK was “Coming Soon” and offered for sale the advertised dermal fillers “Juviderm,” “Surgiderm,” and “Botox.” However, as indicated by Nasiatka, no cancer or rheu-matology drugs were offered for sale on either website. (Id.)
On July 7, 2011, Nasiakta again accessed the MDK website and “learned that the site had been updated so that the products offered for sale included 52 different oncology drugs.” (Id. at ¶ 41.)
Nasiatka also stated that, on September 16, 2011, he learned from an unnamed industry representative that an unnamed private investigator had purchased two 5ml vials of Aloxi, an FDA-approved prescription cancer medication, from MDK’s website. (Id. at ¶ 42.) The price of $140 per 5ml vial was below the established wholesale price of $371 per vial in the United States. (Id.)
The Aloxi was apparently received by the private investigator on or about September 13, 2011. (Id. at ¶ 43.) A National Drug Code (“NDC”) number, which Nasi-atka claimed that all FDA-approved drugs have, was not present on any of the drug boxes or vials. (Id.) The return address information printed on the UPS label was that of Lisa Mingelli, 877-321-5567, MDK, 425 Northern Blvd. Ste 27, Great Neck, N.Y. 11021. (Id.)
Nasiatka further stated that, on September 22, 2011, he learned that other FDA (OCI) offices had ongoing investigations of Pharmalogical and MDK, “as they sold unapproved Botox to medical facilities in their districts.” (Id. at ¶ 44.) In this regard, Nasiatka stated that “[s]everal undercover purchases had been made and it was determined, as in this case, that the Botox manufactured by Allergan was for foreign market distribution only.” (Id.)
Thereafter, according to Nasiatka, FDA Special Agent Peter Orlando conducted surveillance of the Great Neck office, including of vehicles parked in spaces reserved for Pharmalogical employees. Based on this surveillance, Nasiatka inquired of the New York State Department of Motor Vehicles (“DMV”) and “learned that one was registered to William J. Scully and another to Lisa M. Mongelli.” (Id. at ¶ 45.)
Nasiatka further stated that, on November 28, 2011, he directed another FDA/ OCI Special Agent to access the MDK website to conduct an undercover credit card purchase of 4 vials of Aloxi 0.25mg. (Id.) Nasiatka stated that “[a]n account was set up using an undercover pharmacy name and address in Madison, New Jersey” and that “[t]he total cost of the credit card purchase was $560.00.” (Id.) An email confirmation was received from the email address, medevl@yahoo.com, which was listed in the Domain Registrant information for MDK. (Id.)
Nasiatka stated that, on December 6, 2011, he received the order of 4 vials of Aloxi. The sender shipping label denoted Lisa Mingelli, 877-321-5567, MDK, 425 Northern Blvd. Ste. 27, Great Neck, N.Y. 11201. (Id. at ¶ 47.)
According to Nasiatka, on February 22, 2012, he directed another FDA/OCI Special Agent to access the MDK website to conduct an undercover purchase of 3 kits of Aredia 30mg (4 vials per kit) for $175 each.
Nasiatka further stated that, on April 3, 2012, the FDA issued an alert to healthcare professionals. The FDA alert stated in part that “[its] lab tests have confirmed that a counterfeit version of Roche’s Altu-zan 400mg/16ml (bevacizumab), an injecta-ble cancer medication, found in the U.S. contains no active ingredient. Even if the identified drugs were not counterfeit, Altu-zan is not approved by FDA for use in the United States (it is an approved drug in Turkey). (Id. at ¶ 52.)
Thereafter, according to Nasiatka, the FDA/OCI initiated several cases to identify buyers of Altuzan. (Id. at ¶ 53.) One such investigation related to the Sierra Nevada Cancer Center (“SNCC”), located in Carson City, Nevada. (Id.) The FDA/ OCI identified SNCC as possibly purchasing counterfeit Altuzan from Quality Special Products (“QSP”), located in Canada. (Id.) Nasiatka stated that, during interviews conducted at SNCC, it was learned than SNCC had also purchased foreign labeled drugs from MDK. (Id.)
During a visit-to SNCC on April 3, 2012, SNCC “surrendered” 9 vials of the cancer medication, Mabthera, which was identified as purchased from MDK. (Id. at ¶ 54.) Some of the vials had foreign language labeling and some had stickers covering the foreign language labeling. (Id.) SNCC also “surrendered” 7 vials of Altuzan 400mg, which also contained foreign labeling. (Id.) SNCC also provided 30 available invoices of purchases from MDK, dated June 6, 2011 to March 8, 2012. (Id.)
On May 3, 2012, after follow up phone conversations and emails with an MDK representative named “Courtney,” an FDA undercover agent received a package of 1 vial • of Aredia 90mg and one bottle of Aloxi. (Id. at ¶¶ 56-58.) Niasatka stated that a NDC -number, which all FDA approved drugs have, was not present of any of the drug boxes or vials. (Id.)
Based on this investigation, Nasiatka represented that probable caused existed to believe that evidence in the form of business records, correspondence, computer equipment, computer records, and other business records, as detailed in an attachment to the affidavit, containing information relevant to the crimes set forth in the affidavit were located at the Great Neck office of Pharmalogical. (Id. at ¶ 65.)
Accordingly, Nasiatka requested a search warrant for “permission to search and seize, among other things, all foreign labeled pharmaceuticals and all documents relating to their purchase and sale” at the Great Neck office. (Id. at ¶ 62.) Nasiatka outlined the various facial markers that distinguish foreign-market drugs from FDA-approved products, including foreign language labels; absencé of the term “Rx Only”; statements that the drug was “imported by” an entity in a foreign country; and absence of an NDC number. (Id. at ¶ 63.)
Nasiatka also requested that approval of examination of any of the aforementioned records be conducted by a qualified com-putér evidence recovery, specialist. (Id. at ¶ 66.)
Nasiatka also requested than the warrant be sealed, stating that the affidavit was part of a “covert investigation into the sale of, among other things, unapproved cancer drugs.” (Id. at ¶ 72.) Nasiatka represented that “[r]evealing the affidavit at this time could possibly jeopardize the
B. The May 18, 2012 and May 22, 2012 Office Search Warrants and the Subsequent Execution of Those Warrants
On May 18, 2012, United States Magistrate Judge William D. Wall issued a search warrant under seal for “THE PREMISES KNOWN AND DESCRIBED AS A COMMERCIAL BUILDING, LOCATED AT 425 NORTHERN BOULEVARD, SUITE 27, GREAT NECK, NEW YORK 11201.” Judge Wall expressly relied on Nasiatka’s affidavit and noted that Nasiatka had reason to believe that certain items at the office “constitute[d] contraband, evidence, fruits and in-strumentalities of violations of Title 21, United States Code § 331(a) and § 333(a)(2).” (Doc No. 44, Exh. 3.) Judge Wall directed, among other things, that the search be conducted on or before June 1, 2012; a copy of the warrant be left at the premises; and that a written inventory be prepared.
On May 22, 2012, Judge Wall issued an additional search warrant for the above-mentioned premises, noting that Nasiatka had reason to believe that, certain computers and hard drives “constitute^] contraband, evidence, fruits and instrumentalities of violations of Title 21, United States Code § 331(a) and §' 333(a)(2).” (Id.). Judge Wall authorized “[a]ny computers, computer hard drives, or other electronic device to be searched on-site or off-site for records as detailed on Attachment 1 hereto.” (Id.) Judge Wall directed, among other things, that the search be conducted on or before June 1, 2012; a copy of the warrant be left at the premises; and that a written inventory be prepared.
On May 24, 2012, FDA agents executed the Office Search Warrants. The search, led by Nasiatka, resulted in the seizure of more than 32,000 documents, including financial records. The FDA agents also imaged the hard drives of three computers.
The FDA Agents left a copy of the search warrant and a computer-printed inventory of all items seized. One computer which was seized was returned to Scully on May 29, 2012.
C. The September 21, 2012 Affidavit in Support of the Email Account Search Warrants
In September 21, 2012, Nasiatka submitted another affidavit, sworn to by him, seeking a search warrant related to two email addresses, medevl@yahoo.com and taranismed@yahoo.com.
The September 21, 2012 affidavit largely mirrored Nasiatka’s May 2012 affidavit in support of the Office Search Warrants. In particular, Nasiatka documented the underlying investigations after February 2011. In addition to the details previously recounted in the May 2012 affidavit, Nasi-atka stated that, on or about June 13, 2012, he spoke with a John Doe, a customer of MDK. (Doc No. 44, Exh. 1, at ¶ 62.). Doe apparently аdvised Nasiatka that he had recent phone and email communications with MDK. John Doe stated that on or about June 12, 2012, Scully, who he knew to be a representative of MDK, emailed him and advised him that he could place an order for prescription drugs through Scully, who was listed at the bottom of the email as the President of a company known as Taranis Medical Corp. John Doe was emailed by Scully from the email address taranismed@yahoo.com. Previously, John Doe had dealt with Scully and MDK for purchase of drugs through the email address, medevl@yahoo.com.
Based on the foregoing, Nasiatka represented that probable caused existed to believe that the aforementioned email addresses contained “contraband, evidence,
D. The September 21, 2012 Yahoo Search Warrant and Subsequent Execution
On September 21, 2012, Judge Wall issued a search warrant under seal for “THE PREMISES KNOWN AND DESCRIBED AS EMAIL ADDRESSES medevl@yahoo.com and taranismed@ yahoo.com ...” (Gov’s Exh. 2.) Again, Judge Wall expressly relied on Nasiatka’s affidavit and noted that Nasiatka had reason to believe that the abovementioned email addresses, “in” the Eastern District of New York, “constitute^ contraband, evidence, fruits and instrumentalities of violations of Title 21, United States Code § 331(a) and § 333(a)(2).” (Id.) Judge Wall directed, among other things, that the search be conducted on or before September 28, 2012; a copy of the warrant be left at the premises; and that a written inventory be prepared.
It appears that FDA Agents executed the September 21, 2012 Yahoo search warrant within the prescribed time period.
E. The November 16, 2012 Search Warrant and Its Subsequent Execution
On November 16, 2012, United States Magistrate Judge Arlene R. Lindsay issued a search warrant, apparently under seal, for “THE PREMISES KNOWN AND DESCRIBED AS FENCES INVENTORY AREA OF 3G WAREHOUSE, INC., 565 BROADHOLLOW ROAD, SUITE 1, FARMINGDALE, NEW YORK 11735 (‘SUBJECT PREMISES’).” (Doc No. 44, Exh. 6.) Judge Lindsay expressly relied on an affidavit from Nasiatka and noted that Nasiatka had reason to believe that the aforementioned property concealed “a box containing approximately 105 Mirena intrauterine devices and any other prescription drugs or medical devices received by 3G Warehouse, Inc. at the SUBJECT PREMISES on behalf of Taranis Medical Corp.” (Id.) Judge Lindsay directed, among other things, that the search be conducted on or before November 23, 2012; a copy of the warrant be left at the premises; and that a written inventory be prepared.
It appears that FDA Agents executed the November 16, 2012 search warrant within the prescribed time period.
F.The November 22, 201S Affidavits in Support of an Additional Email Search Warrant
On November 22, 2013, Nasiatka submitted another affidavit, sworn to and signed under oath, as part of an application for another search warrant, this time limited to the medevl@yahoo.com email address. The November 22, 2013 affidavit was virtually identical to the September 21, 2012 affidavit except, in part, as to Nasiatka’s representation in Paragraph 63 that Scully continued to use the aforementioned email address after September 21, 2012 in connection with Pharmalogical. (Id., Exh. 2).
In particular, Nasiatka quoted an email dated October 9, 2013 from this address which stated: “Hello, I have sent the discontinuance form for Pharmalogical Inc license # 029518. I would like to open a new wholesale business under a different corp. in a new location. I don’t want to send in the application to quickly if the discontinuance hasn’t beеn processed yet.Please let me know your advice on this
In paragraph 64, Nasiatka referenced the September 21, 2012 search warrant and attached a copy.
G. The November 22, 2013 Search Warrant and Subsequent Execution
On November 22, 2013, Judge Wall issued another search warrant under seal of “THE PREMISES KNOWN AND DESCRIBED AS EMAIL ADDRESS “[EMAIL ADDRESS]”, AS SET FORTH IN ATTACHMENT A.” Attachment A stated that “[the] warrant applies to information associated with medevl@yahoo. com that is stored at premises own, maintained, controlled, or operated by Yahoo! Inc., a company headquartered in Sunnyvale, California.”
Judge Wall expressly relied on an affidavit from Nasiatka and noted that Nasiatka had reason to believe that the aforementioned property concealed “[e]vidence, fruits and instrumentalities of violations of 21 U.S.C. Sections 331(a) and 333(a)(2), as set forth in Attachment B and is subject to disclosure without notice to the subscriber or customer, inter alia, under 18 U.S.C. Section 2703(b).” Judge Wall directed, among other things, that the search be conducted on or before December 2, 2013; a copy of the warrant be left at the premises; and that a written inventory be prepared.
H. The Affidavit in Support of an Order of Nortr-Disclosure of the November 22, 2013 Yahoo Search Warrants and the Order of Ncm-Disclosure
On December 4, 2013, Nasiatka submitted an affidavit to Judge Wall in support of an application for a non-disclosure order for the November 22, 2013 Yahoo Search Warrant. In that affidavit, Nasiatka averred that “[s]ince the issuance of the warrant, Yahoo! Inc. has advised me that, without an Order under 18 U.S.C. § 2705(b), notice will be sent to the subscriber of the existence of the search warrant.” Nasiatka’s represented that such disclosure would “seriously jeopardize the investigation, including by giving targets an opportunity to flee or continue flight from prosecution, destroy or tamper with evidence, change patterns of behavior, and notify confederates.” (Doc No. 44, Exh. 17.)
Judge Wall issued the Order of NonDisclosure pursuant to Section 2705(b). It appears that FDA Agents executed the November 22, 2013 Search Warrant within the prescribed time period.
I.The Indictment and Pre-Trial Proceedings
On April 9, 2014, the Government filed the instant Indictment, under seal, as against Scully and Lameh. The Indictment contains (1) 18 counts of wire fraud in violation of 18 U.S.C. §§ 1343, 1349 and 3551 et seq.; (2) one count of conspiracy to commit mail fraud in violation of 18 U.S.C. §§ 1349 and 3551 et seq.; (3) 17 counts of mail fraud in violation of 18 U.S.C. §§ 1341, 1349 and 3551 et seq.; (4) one count of conspiracy to distribute “Mis-branded” drugs in violation of 21 U.S.C. §§ 331(a) and (a)(2); (5) 17 counts of introduction of “Misbranded” drugs into interstate commerce' in violation of 21 U.S.C.- §§ 331(a) and (a)(2) and 18 U.S.C. §§ 2, 3551 et seq.; (6) 17 counts of receipt of misbranded drugs in interstate commerce and delivery thereof for pay in violation of 21 U.S.C. §§ 331(c) and (a)(2) and 18 U.S.C. §§ 2, 3551 et seq.; (7) one count of fraudulent importation and transportation of goods in violation of 18 U.S.C. §§ 545, 2, and 3551 et seq.; and (8) one count of trafficking in counterfeit drugs in violation of 18 U.S.C. §§ 2320(a)(4), 2, and '3551 et seq.
Scully, also known as “Liam Scully,” resided in Commack, New York and used the websites and email addresses, www. pharmalogicalinc.com; www.medical . deviceking.com; www.taranismedical.com; taranismed@yahoo.com; and medevl@ yahoo.com in connection with the sale of prescription drugs. (Id. at ¶ 24.)
Lameh resided in Manhasset, New York and used the websites and email addresses www.pharmalogicalinc.com; www.medical deviceking.com; and rodilameh@gmail. com in connection with the sale of prescription drugs. (Id. at ¶ 25.)
Thе websites www.pharmalogiealinc. com; www.medicaldeviceking.com; and www.taranismedical.com were used to make sales to customers. (Id. at ¶ 26.)
The Government alleges that between about February 10, 2009 and July 2013, Scully and Lameh, together with unidentified “others,” “engaged in a scheme designed to fraudulently induce customers to purchase prescription drugs that were mis-branded in that they were not approved by the FDA for use in the United States.” (Id. at ¶ 27.) The Government further alleges that, in furtherance of this scheme, Scully and Lameh “placed photographs of certain prescription Medications, which were approved by the FDA for introduction and delivery for introduction into interstate commerce in the United States, on MDK websites in order to mislead customers to believe that the drugs were approved when in truth and in fact, as SCULLY and LAMEH then and there well knew and believed the drugs that they sold were not approved by the FDA for use and introduction and delivery into interstate commerce in the United States.” (Id.)
The Government also contends that Scully and Lameh “obtained misbranded drugs from foreign suppliers using the email addresses of medevl@yahoo.com and rodilameh@gmail.com and/on behalf of MDK, received payment from customers by credit card, wire transfer, and business check from purchasers of misbranded drugs.” (Id. at ¶ 28.) Further, according to the Government, Scully and Lameh “received, and caused to be received, on behalf of Pharmalogieal, Inc., shipments of misbranded drugs through United States Mail Priority and Express Mail” and “also sent, and caused to be sent, on behalf of Pharmalogieal, Medical Device King and MDK, shipments of misbranded drugs using commercial interstate carriers, to wit: United Parcel Service of America, Inc. CUPS’) and FedEx Corporation (‘FedEx’).” (Id.)
The Government asserts that Scully and Lameh conspired with others to electronically order “prescription drugs from, among other places, the countries of Scotland, Turkey, United Kingdom, Cayman Islands, Canada, United Arab Emirates, Switzerland and India for sale in the United States, knowing that such prescription drugs were not FDA 'approved and therefore were not permitted to be distributed and used in the United States.” (Id. at ¶ 29.) It is also alleged that Scully and Lameh, knowing that the prescription drugs obtained from these countries “were not approved for sale in the United States, shipped such drugs using commercial interstate carriers to customers who had ordered them either by telephone or from the MDK websites that falsely advertised
Similarly, the Government contends that Scully and Lameh “falsely represented to prospective customers during telephone calls that the prescription drugs the customers purchased were approved for sale and use in the United States when SCULLY and LAMEH knew that this was not true.” (Id. at ¶ 31.)
Some of these drugs included Altuzan and Mabthera. (Id. at ¶ 32.) Altuzan is the foreign version of Avastin, the trademark name for a drug used to treat certain cancers. The Government claims that Avastin is a prescription drug within the meaning of 21 U.S.C. § 353(b)(1)(A) and (B). The FDA initially approved Avastin for use in the United States in 2004. (Id. at ¶ 9.)
Mabthera is the foreign version of Ri-tuxan, the trademark name for a drug that was used, among other purposes, to treat certain cancers and rheumatoid arthritis. (Id. at ¶ 13.) The Government claims that Rituxan is a prescription drug within the meaning of 21 U.S.C. § 353(b)(1)(A) and (B). The FDA initially approved Rituxan for use in the United States in 1997.
While the aforementioned drugs were approved by the FDA, the Government claims that they were “not approved for introduction and delivery for introduction into interstate commerce in the United States.” (Id. at ¶ 13.)
The Government maintains that, on or about May 24, 2014, Scully and Lameh “possessed numerous misbranded drugs having imported them with the intention of selling them” (Id. at ¶ 33.) In this regard, Paragraph 33 of the Indictment contains a corresponding table of such alleged “mis-branded” drugs in Scully and Lameh’s possession, delineated by “Drug Quantity and Type” and “Method of Misbranding.” (Id.)
As set forth in this table, the various alleged methods of misbranding are “Lacked English label”; “phrase ‘Rx only’ on label”; and “Not FDA approved for distribution in the United States.” (Id.).
On April 9, 2014, Judge Lindsay issued separate arrest warrants for the Defendants.
On April 30, 2014, the Defendants were arraigned before Judge Wall, at which time they plead not guilty to all 73 counts. The Defendants were released on separate $500,000 unsecured bonds, with certain conditions. Judge Wall also unsealed the Indictment in its entirety as to the Defendants.
On May 30, 2014, upon an application of the Government, United States Magistrate Judge Gary R. Brown unsealed all documents in this case.
That same day, this Court held a status conference and marked the case as complex.
As noted above, on October 16, 2014, on referral to Judge Locke, Lameh entered a guilty plea to Counts 1 through 37 of the Indictment. Lameh plead guilty to conspiracy to commit wire fraud; wire fraud; conspiracy to commit mail fraud; mail fraud; and one count of conspiracy to distribute misbranded drugs. He did not plead guilty to trafficking in counterfeit oncology drugs.
On October 20, 2014, this Court accepted that guilty plea recommendation. Lameh is currently set to be sentenced on September 18, 2015.
On February 5, 2015, Scully filed the present motion, the various branches of which are discussed later. Following oral argument on the motion on May 15, 2015, the Court reserved decision. At the time, at Scully’s request, the Court scheduled a date for jury selection for January 5, 2016
II. DISCUSSION
There are several branches to the Defendant’s motion to, among other things, dismiss certain counts of the Indictment, to suppress certain evidence, and for an order directing certain discovery and the filing of a bill of particulars. The Court first addresses that part of the motion to suppress, namely, “all emails and other evidence obtained through search warrants due to the Government’s material misstatements and omissions in the search warrant affidavits and the constitutionally impermissible way that the Government executed the warrants.” (Doc No. 43, at 1.) The Court then addresses the remaining items of the relief requested.
A. The Motion To Suppress
The Fourth Amendment protects the rights of individuals “to be secure in their persons, houses, papers, and effects, against, unreasonable searches and seizures.” U.S. Const. Amend. IV.
A search occurs when the Government acquires information by either “physically intruding’ on persons, houses, papers, or effects,” “or otherwise invading an area in which the individual has a reasonable expectation of privacy.” See Florida v. Jardines, — U.S.-,
Further, the Fourth Amendment’s Warrants Clause provides that “no Warrants shall issue, but upon probable cause, supported by Oath or affirmation, and particularly describing the place to be searched, and the persons or things to be seized.”
1. Whether the Email Search Wdr-rants were Technically Deficient
The Defendant argues that the Yahoo Search Warrants, signed by Judge Wall in ■the Eastern District of New York, violated Federal Rule of Criminal Procedure (“Fed. R.Crim.P.”) 41 and 18 U.S.C. § 2703 of the federal Stored Communications Act (the “SCA”) because they purported to authorize seizure of emails that were conducted in California.
In response, the Government notes that Attachment A to Nasiatka’s affidavits in support of the Yahoo Search Warrants, referenced in the Yahoo Search Warrants, states that “[t]his warrant applies to information associated with medevl@yahoo. com that is stored at premises own, maintained, controlled, or operated by Yahoo! Inc., a company headquartered in Sunnyvale, California.” (Gov’s Exh. 2.)(bolding omittеd).
The Defendant counters that, under Rule 41 and 18 U.S.C. § 2703, a judge in one district cannot issue a search warrant for property located in another district.
A review of the relevant rules and statutes is in order. Relevant here, Rule 41(b)(1) provides that at the request of a federal law enforcement officer or an attorney for the federal government: “[A] magistrate judge with authority in the district — or if none is reasonably available, a judge of a state court of record in the district — has authority to issue a warrant to search for and seize a person or property located within the district.” (emphasis added).
The SCA was passed as part of the Electronic Communications Privacy Act of
Prior to 2001, § 2703(a) provided that:
A governmental entity may require the disclosure by a provider of electronic communication service of the contents of a wire or electronic communication, that is in electronic storage in an electronic communications system for one hundred and eighty days or less, only pursuant to a warrant issued under the Rules of Criminal Procedure or equivalent State warrant.
18 U.S.C. § 2703(a)(1998)(emphasis added).
The Uniting and Strengthening America by Providing Appropriate Tools Required to Intercept and Obstruct Terrorism Act of 2001 (the “Patriot Act”) amended § 2703(a) to permit a government entity to require such disclosures “only pursuant to a warrant issued using the procedures described in the Federal Rules of Criminal Procedure by a court with jurisdiction over the offense under investigation or equivalent State warrant.” Id. § 2703(a)(2006)(emphasis added). Indeed, “Section 220 of the Patriot Act amended § 2703 by ‘striking ‘under the Federal Rules of Criminal Procedure’ every place it appears and inserting ‘using the procedures described in the Federal Rules of Criminal Procedure by a court with jurisdiction over the offense under investigation.’ ” In re U.S.,
On October 19, 2009, Congress amended Section 2703(a) again to read that warrant may issue “only pursuant to a warrant issued using the procedures described in the Federal Rules of Criminal Procedure (or, in the ease of a State court, issued using State warrant procedures) by a court of competent jurisdiction.” Hubbard v. MySpace, Inc.,
In the same legislative session, Congress amended Section 2711(3) to define a “court of competent jurisdiction” as:
(A) any district court of the United States (including a magistrate judge of such a court) or any United States courts of appeals that—
(i) has jurisdiction over the offense being investigated;
(ii) is in or for a district in which the provider of a wire or electronic communication services is located or in which the wire or electronic communications, records, or other information are stored; or
(iii) is acting on a request for foreign assistance pursuant to section 3512 of this title; or
(B) a court of general criminal jurisdiction of a State authorized by the law of that State to issue search warrants.
In- Hubbard, a website user brought a civil putative class action against MySpace, Inc., a social networking website, alleging violations of the SCA arising out of website’s disclosure of member account information to law enforcement.
As part of the underlying criminal investigation, a Georgia State Magistrate Court had issued a search warrant to a custodian of records in Beverly Hills, California. The search warrant was issued on January 29, 2008, after the 2001 amendments but prior to the 2009 amendments. The search warrants led in part to an arrest, guilty plea, and conviction for contributing to the delinquency of a minor and “enticing a child for indecent purposes” under Georgia law.
In the subsequent federal civil action under the SCA, United States District Judge Lewis A. Kaplan described Section
Judge Kaplan based this conclusion in part on certain legislative history to the Patriot Act, which, as noted above, amended Section 2703 of the SCA. In particular, the House Committee on the Judiciary released a report, dated October 11, 2001, which states, in part:
Title 18 U.S.C. § 2703(a) requires a search warrant to compel service providers to disclose unopened e-mails. This section does not affect the requirement for a search warrant, but rather attempts to address the investigative delays caused by the cross-jurisdictional nature of the Internet. Currently, Federal Rules of Criminal Procedure 41 requires that the “warrant” be obtained “within the district” where the property is located. An investigator, for example, located in Boston who is investigating a suspected terrorist in that city, might have to seek a suspect’s electronic e-mail from an Internet service provider (ISP) account located in California. The investigator would then need to coordinate with agents, prosecutors and judges in the district in California where the ISP is located to obtain the warrant to search. These time delays could be devastating to an investigation, especially where additional criminal or terrorist acts are planned.
Section 108 amends. § 2703 to authorize the court with jurisdiction over the investigation to issue the warrant directly, without requiring the intervention of its counterpart in the district where the ISP is located.
H.R. Rep. 107-236 (Title 1), at 57 (2001).
Judge Kaplan concluded that, based on this language, “Congress made clear that, in adopting the relevant statutory language, it specifically intended to allow federal courts to authorize searches beyond their normal territorial jurisdictions.”
A similar conclusion was reached in In re Warrant to Search a Certain E-Mail Account Controlled & Maintained by Microsoft Corp.,
United States Magistrate Judge James C. Francis IV denied the motion, holding in part that the warrant did not violate the presumption against extraterritorial application of the law of the United States.
With regard to the apparent tension between Rule 41 and Section 2703(A), Judge Francis acknowledged that the argument that federal courts are without authority to issue warrants for the search and seizure of property outside the territorial limits of the United States was “not inconsistent with the statutory language” in those provisions. Id.
Indeed, with regard to Section 2703(a), Judge Francis found:
This language is ambiguous in at least one critical respect. The words “using the procedures described in the Federal Rules of Criminal Procedure” could be construed to mean, as Microsoft argues, that all aspects of Rule 41 are incorporated by reference in section 2703(a), including limitations on the territorial reach of a warrant issued under that rule. But, equally plausibly, the statutory language could be read to mean that while procedural aspects of the application process are to be drawn from Rule 41 (for example, the presentation of the application based on sworn testimony to a magistrate judge), more substantive rules are derived from other sources.
Id. Thus, Judge Francis did not hold that Section 2703, considered in conjunction with Rule 41, yielded a clear result.
Rather, relying on the Supreme Court decisions in Florida Power & Light Co. v. Lorion,
Judge Francis characterized the above-mentioned language contained in the Report of the House Committee on the Judiciary as “significant, because it equates ‘where the property is located’ with the location of the ISP, not the location of any server.” Id. at 474.
“Commentators have suggested that one reason for the amendments effected by Section 220 of the Patriot Act was to alleviate the burden placed on federal district courts in the Eastern District of Virginia and the Northern District of California where major internet service providers [ ] AOL and Yahoo, respectively, are located.” In re Search of Yahoo, Inc., No. 07-3194(LAO),
As noted above, the House Judiciary Committee’s Report accompanying the Patriot Act explains that § 2703(a) “attempts to address the investigative delays caused by the cross-jurisdictional nature of the Internet.” Ohm, Parallel Effect Statutes
In the Microsoft case, Judge Francis concluded that, based on the language contained the October 11, 2001 Report and other legislative history, Congress “appear[ed] to have anticipated that an ISP located in the United States would be obligated to respond to a warrant issued pursuant to section 2703(a) by producing information within its control, regardless of where that information was stored.”
However, execution of the search warrant was stayed on consent pending review of Judge Francis’s decision by a district judge. Thereafter, Chief Judge Loretta A. Preska affirmed Judge Francis’s ruling on the record. Microsoft immediately moved to stay execution of the Warrant pending review by the Second Circuit. The Government sought time to consider whether it would consent to such a stay. Judge Preska granted Microsoft’s motion on the record.
By order dated August 1, 2014, based on the Government’s consent to stay enforcement of the July 31 Order pending appeal, Judge Preska extended the stay “only for such period as will permit Microsoft to file its notice of appeal, request for a stay and request for an expedited appeal.” On August 11, 2014, Judge Preska entered а written order confirming the July 31 Order. That same day, Microsoft filed a notice of appeal. That appeal is pending before the Second Circuit.
While the Second Circuit’s resolution of that appeal may affect this area of law, it is not clear that a ruling in favor of Microsoft would necessarily mandate a ruling in favor of the Defendant on this issue. This is because, as noted above, Microsoft challenged a search warrant related to electronic data stored outside the United States. Here, by contrast, the Defendant challenges a search warrant related to electronic data outside the issuing judge’s district, but within the United States.
In any event, the Court notes that the Defendant does not cite nor does the Court’s independent research reveal any controlling cases to support his argument. To the contrary, almost all the cases appear to support the Government’s position, namely, that a federal magistrate may issue a search warrant for electronic evidence outside his or her district under Section 2703(a).
The case, United States v. Vilar, No. S305CR621 (KMK),
Nor do cases relating to the lack of power to authorize intrusion into a foreign computer support the Defendant’s position. For instance, in In re Warrant to Search a Target Computer at Premises Unknown,
The Government [did] not seek a garden-variety search warrant. Its application requested] authorization to surreptitiously install data extraction software on the Target Computer. Once installed, the software [would have] the capacity to search the computer’s hard drive, random access memory, and other storage media; to activate the computer’s built-in camera; to generate latitude and longitude coordinates for the computer’s location; and to transmit the extracted data to FBI agents within this district
Id. at 755. “In other words, the Government [sought] a warrant to hack a computer suspected of criminal use.” Id. “Though not ‘garden-variety,’ the warrant requested there was conventional: it called for agents to intrude upon the target’s property in order to obtain information; it did not call for disclosure of information in the possession of a third party.” In re Warrant to Search a Certain E-Mail Account Controlled & Maintained by Microsoft Corp.,
The one decision uncovered supporting the Defendant’s argument, In re Search Warrant,
As to the case law outside this circuit, some of the cases, like Hubbard and Microsoft, have concluded that the apparent tension between Section 2703(a) and Rule 41 with regard to the permissibility of search warrants outside a judge’s district creates an ambiguity. In re United States,
Accordingly, some of these courts have, as in Hubbard and Microsoft, turned to legislative history for guidance. See In re US.,
Some of these courts have also focused on the practical considerations related to out-of-district eleсtronics search warrants. For example, as noted in In re Search of Yahoo, Inc., “judicial and prosecutorial efficiency is better served by permitting the federal district court for the district where the crime allegedly occurred to preside over both the investigation and prosecution of that crime.”
Similarly, in In re Search Warrant, the Court noted that “it makes little sense to require the government, once it has opened an investigation into an alleged federal crime in the district where that crime allegedly occurred, to have to look to the courts, prosecutors and agents in another district where certain evidence may be found in order to procure a warrant for a search in that other district.”
The In re Search Warrant court further determined, in a footnote, as follows:
Permitting the district court where the crime allegedly occurred to issue an out-of-district warrant for evidence located in another district results in no prejudice to the rights of the defendant, particularly where that defendant is unaware of the investigation. The only person conceivably being inconvenienced is the third party that owns the out-of-district property subject to the search warrant, but as a practical matter, such inconvenience is de minimis and, as the United States suggested, such third parties rarely, if ever, seek to contest such warrants.
Id. at n. 14.
The Court also takes note of United States v. Berkos,
The Seventh Circuit disagreed. However, the circuit court “[did] not rely on the extensive legislative history of the 2001 amendment” to Section 2703(a). Id. at 397 n. 4. Rather, the Seventh Circuit looked to the “plain language” of Section 2703(a) and Rule 41 and found as follows:
Rule 41(b) is a substantive provision, not a procedural one. Section 2703(a) refers only to the specific provisions of the Rules of Criminal Procedure, namely, Rule 41, that detail the procedures for obtaining and issuing warrants. The word “procedure” is defined as “a specific method or course of action,” Black’s Law Dictionary, 1241 (8th ed.2004), or “a particular way of accomplishing something or acting.” Merriam Web: ster’s Collegiate Dictionary, 990 (11th ed.2003). The common definition of “procedure” supports the conclusion that § 2703(a) incorporates only those provisions of Rule 41 that address the “specific method” or “particular way” to issue a warrant.
Id. at 397-98 n. 4.
The Seventh Circuit also noted that
Rule 41(b) is titled “Authority to Issue a Warrant” and discusses the circumstances as to when a court may issue a warrant, not the procedures to be used for issuing the warrant. In fact, the procedures for issuing a warrant are enumerated at Rule 411, which of course, would apply to § 2703(a). See Fed.R.Crim.P. 41(e).
Id. at 398.
Berkos also noted that, as part of the 2001 amendments,
Congress amended the relevant language of § 2703(a), striking “under the Federal Rules of Criminal Procedure” everywhere it appeared and replacing that language with “using the procedures described- in the Federal Rules of Criminal Procedure.” See PL 107-56, § 220(a)(1). The word “procedures” was also modified by “described in,” which further expressed Congress’s intent that only the procеdural aspects of Rule 41 apply to § 2703(a). See id. If all provisions of Rule 41 (or the Federal Rules of Criminal Procedure, for thatmatter) were strictly procedural, the phrase “described in” would be meaningless. See Gustafson [v. Alloyd Co., Inc.], 513 U.S. [561] at 574-75, 115 S.Ct. 1061 [131 L.Ed.2d 1 (1995)] (federal courts should avoid interpreting statutes in a way that renders words or phrases meaningless or redundant).
Finally, the Seventh Circuit noted that “ § 2703(a) has its own jurisdictional provision authorizing district courts to issue warrants only where it has ‘jurisdiction over the offense.’ ” Id. at 398. The Seventh Circuit agreed with the Government that “Congress provided such a ‘special circumstance’ through § 2703(a) since warrants pursuant to § 2703(a) do not directly infringe upon the personal privacy of an individual, but instead compel a service provider to divulge records maintained by the provider for the subscriber.” Id. at 398 n. 6.
Similarly, in United States v. Kernell, No. 3:08-CR-142 (CCS),
[T]he plain language of 18 U.S.C. § 2703(a) expresses the intent that only the “procedures,” (i.e., the procedural portions) as “described” in Rule 41 are to be “used.” This Court further finds that Rule 41(b) is not a “procedural” provision, but is a “substantive” provision, and thus, it is not incorporated under 18 U.S.C. § 2703(a). It is clear that Rule 41(b) describes no procedure but only substantive authority. It’s very title “Authority to Issue-Warrant” states as much. Indeed, Defendant’s motion is predicated on the claim that this court lacked substantive authority to issue these warrants.
Furthermore, to the extent the Defendant argues subsection (b) of Rule 41 modifies the authority provided in 18 U.S.C. § 2703(a), such an interpretation is prohibited by subsection (a) of Rule 41 which provides that Rule 41 does not “modify any statute regulating searches or seizures or the issuance and execution of a search warrant in special circumstances.”
The Court finds that 18 U.S.C. § 2703(a) is a statute that regulates search and seizure of electronic evidence and the issuance and execution of search warrants in special circumstances — to wit, only by courts with “jurisdiction over the offense under investigation” and only for electronic evidence located out of district. The Court finds this Court and these search warrants, met and complied with the provisions and clear statutory language of 18 U.S.C. § 2703(a).
The Kemell Court discussed some of the above-mentioned legislative history to the Patriot Act, but explicitly deemed it “not necessary for th[e] Court’s analysis or ruling.”
Indeed, as Berkos noted, that search warrants could issue only exclusively by a court with geographical jurisdiction of the electronic property was true prior to the 2001 amendments.
Indeed, “[i]f there was any doubt about the intent of the 2001 Amendment in issue, i.e., § 220, one need only look to its title, ‘Nationwide Service of Search Warrants for Electronic Evidence.’ As such, it is hard to find merit in an argument, as made by the Defendant, that the statute, in fact, precludes the very nationwide service of search warrants for electronic evidence that it was designed and intended to permit.” Kemell,
Further, the fact that the Government could have, as the Defendant suggests, obtained a search warrant from a California federal court, as provided by Section 2711(3)(ii), does not mean that a federal judge of this District, which “has jurisdiction over the offense being investigated,” did not also possess statutory authority to issue the Yahoo Search Warrants.
Based on the foregoing reasons, the Court finds that the Yahoo Search Warrants, both of which specifically referenced Section 2703(b), complied with the requirements of the SCA. The Court further finds that they complied with Rule 41.
2. Whether Proper “Notice” of the Yahoo Search Warrants Was Provided Under Rule II, the SCA and/or the Fourth Amendment
The Defendant also argues that the Government’s failure to provide “notice” to him of the issuance and execution of the Yahoo Search Warrants violated Rule 41(f)(1)(C). Although Rule 41(f)(1)(C) does not contain the word “notice,” it provides: “The officer executing the warrant must give a copy of the warrant and a receipt for the property taken to the person from whom, or from whose premises, the property was taken or leave a copy of the warrant and receipt at the place where the officer took the property.”
Although the Government took the steps outlined in Rule 41(f)(1)(C) with regard to Yahoo! Inc. (“Yahoo”), it did not so with regard to the Defendant. The question then becomes whether (1) the Government was required to do so, either under Rule 41 or the SCA and (2) even if it was so required, whether failing to do so should result in the remedy of suppression.
As to the first question, the Court notes that Rule 41 “allows the copy of the warrant and the receipt to be given to the person from whose premises the property at issue was seized, even if that person is not the owner of the property.” In re U.S.,
Accordingly, “[w]hen the property to be seized is in the possession of a third party, Rule 41(f)(1)(C) requires no more than what was already accomplished in this case.” In re U.S.,
Furthermore, the Court notes that, even if Rule 41(f)(1)(C) was violated, it is not clear that a suppression remedy would be appropriate. Indeed, “[t]he Second Circuit has counseled that ‘violations of Rule 41 alone should not lead to exclusion unless (1) there was ‘prejudice’ in the sense that the search might not have occurred or would not have been so abrasive if the Rule had been followed, or (2) there is evidence of intentional and deliberate disregard of a provision in the Rule.’ ” United States v. Cardona, No. 14-CR-314 (RA),
Indeed, “[sjeveral other circuits have also held that minor, or ‘ministerial,’ violations of Rule 41 do not require suppression of evidence.” United States v. Brown,
The Court next considers whether the Government’s failure to provide notice to the Defendant of the issuance and execution of the Yahoo Search Warrants violated any provision of the SCA.
Of relevance here, Section 2703(b)(1)(A) states that a governmental entity may obtain certain electronic communications “without required notice to the subscribеr or customer, if the governmental entity obtains a warrant issued using the procedures described in the Federal Rules of Criminal Procedure ... by a court of competent jurisdiction.” See also In re U.S. for Historical Cell Site Data,
However, under § 2703(b)(1)(B), prior notice to the subscriber or customer is required when the governmental entity uses an administrative subpoena, a grand jury or trial subpoena, or court order under Section 2705(d) to obtain the contents of the electronic communications. Further, even for search warrants issued under Section 2703(b)(1)(B), notice to the subscriber or customer may be delayed for a certain period of time pursuant to Section 2705.
Here, the Government obtained access to certain of the Defendant’s email addresses based on warrants which specifically stated that the desired targets of the
The Defendant cites no authority for its contention that the Government must produce the notice it gave to Yahoo. The Court notes that it is clear, based on the record, that such notice was given to Yahoo for the simple reason that Yahoo expressed its intention to notify the Defendant of the existence of the search warrant.
Further, even if the underlying Yahoo Search Warrants were defective in not providing for notice to the Defendant, the Government cured any defect when it obtained a non-disclosure court order pursuant to Section 2705(b) after Yahoo raised its objection noted above.
Under Section 2705(b), the government may also apply to the court under specified circumstances for an order commanding a provider “to whom a warrant, subpoena, or court order is directed, for such period as the court deems appropriate, not to notify any other person of the existence of the warrant, subpoena, or court order.” See generally In re U.S. for an Order Pursuant to 18 U.S.C. Section 2708(D),
The court shall enter such an order if it determines that there is reason to believe that notification of the existence of the warrant, subpoena, or court order will result in—
(1) endangering the life or physical safety of an individual;
(2) flight from prosecution;
(3) destruction of or tampering with evidence;
(4) intimidation of potential witnesses; or
(5) otherwise seriously jeopardizing an investigation or unduly delaying a trial.
Id.; see generally In Matter of Search Warrant for [Redacted]@hotmail.com,
The Defendant does not argue that the Section 2705(b) order of non-disclosure was procedurally improper, but takes issue with Nasiatka’s representation in the underlying affidavit that such disclosure would “seriously jeopardize the investigation, including by giving targets an opportunity to flee or continue flight from prosecution, destroy or tamper with evidence, change patterns of behavior, and notify confederates.” (Gov’s Exh. 17.).
In this regard, at oral argument, counsel for the Defendant argued as follows:
The Yahoo search wаrrants were executed in September of 2012 and in November of 2013.
To maintain that this investigation was covert at that time is unsupportable by the obvious facts of what transpired in this case.
Pharmacological, Mr. Scully’s business, was searched by the same Special Agent who executed these affidavits in May of 2012; four months before the first search warrant, a year-and-a-half before the second search warrant.
The idea that an investigation remains covert after federal agents storm an individual’s place of business and seize evidence and documents from it is unsupportable.
But that’s not the only thing that occurred in this case.
As early as June of 2012, three months before the first search warrant, still over a year before the second search warrant,the agent and the United States Attorney’s office were in discussion with Mr. Scully’s then defense counsel about this ease.
As appended to our papers submitted to the Court, there are communications in June of that year and also a representation made by the Special Agent in this case that he was proceeding with or seeking to proceed with a criminal investigation in this matter.
(Trans, at 12-13.)
As an initial matter, the Court notes that the standard for obtaining a Section 2705(b) order of non-disclosure requires less than a probable cause showing. Indeed, “[t]he explicit terms of section 2705(b) make clear that if a courts finds that there is reason to believe that notifying the customer or subscriber of the court order or subpoena may lead to one of the deleterious outcomes listed under § 2705(b), the court must enter an order commanding a service provider to delay notice to a customer for a period of time that the court determines is appropriate. Once the government makes the required showing under § 2705(b), the court is required to issue the non-disclosure order.” Matter of Application of United States of Am. for an Order of Nondisclosure Pursuant to 18 U.S.C. § 2705(B) for Grand Jury Subpoena # GJ2014031422765,
Here, it is true that the Defendant knew about the underlying investigation since about May 2012, after which he met with the United States Attorneys’ Office after that time, and he did not flee thereafter. Nor is there any suggestion that he attempted to flee. However, the Court agrees with the Government that the Defendant takes an overly narrow view of the “investigation” in this context. Indeed, while the underlying affidavits in support of the Yahoo Search Warrants largely focused on the alleged criminal behavior of the Defendants, the Yahoo Search Warrants were for business email addresses associated with Pharmalogieal and MDK.
Further, the Court notes that those portions of the affidavits seeking a seal of these Search Warrants were general in nature. Indeed, in Paragraph 63 of both the September 21, 2012 and the November 22, 2013 affidavits, Nasiatka averred that the affidavit was “part of a covert investigation into the sale of, among other things, unapproved cancer drugs. Revealing the affidavit at this time could possibly jeopardize the government’s ongoing investigation by causing the destruction of evidence.” (Gov’s Exh. 2.) For this reason, Nasiatka requested and obtained a sealing of the Yahoo Search Warrants.
Relatedly, in the affidavit in support of the non-disclosure order pursuant to Section 2705(b), Nasiatka averred:
I believe that sealing these documents is necessary because the items and information to be seized are relevant to an ongoing investigation into a criminal organization trafficking in unlawful drugs. Based upon my training and experience, I have learned that criminals actively search for criminal affidavits and search warrants via the internet, and disseminate them to other criminals as they deem appropriate, e.g., by posting them publicly through online forums. Therefore, premature disclosure of the contents of this affidavit and rеlated documents will seriously jeopardize the investigation, including by giving targets an opportunity to flee or continue flight from prosecution, destroy or tamper with evidence, change patterns of behavior, and notify confederates.
(Doc No. 44, Exh. 17,1-2.)
Notably, this affidavit does not define the breadth of the suspected “criminal organization” or the “targets” of the “ongo
According to the Government, the basis for the seal and non-disclosure order was borne out by the fact that, as a result of the ongoing investigation, officers from Ozay Pharma, a large supplier of counterfeit prescription drugs to Scully were arrested and charged with trafficking in counterfeit cancer drugs. (Gov’s Br., at 15.) These officers apparently pled guilty in federal court to conspiracy to smuggle unapproved, misbranded, and counterfeit prescription drugs into the United States, as well as fraudulent importation in violation of 18 U.S.C. § 545. (Id.) In addition, according to the Government, those officers “had numerous business connections to Scully” and “upon arrest on January 16, 2014 in Puerto Rico, one of the targets had [ ] Scully’s contact name and phone number on a piece of paper in his pocket.” (Id.) (citing Gov’s Exh. 8.)
Further, according to the Government, its “investigation disclosed that Scully was one of the largest customers of the imported oncology drugs and counterfeit cancer drugs from this company, Ozay Pharma, in Turkey and the trip to Puerto Rico was, in part, to replace Scully thereby reflecting his importance to these admitted traffickers in unapproved drugs. Notably, the Yahoo! Emails sought in the search warrants, in fact, contained communications between Scully and Ozay Pharma in connection with Scully’s purchase and illegal importation of unapproved new oncology drugs.” (Id.) The Government represents that these emails were produced to Scully as part of discovery.
To be' sure, the activities of Ozay Phar-ma do not appear to have been basis for Nasiatka’s affidavits in support of the Yahoo Search Warrants. However, the foregoing evidence may have resulted from the investigation itself and may not have been obtained had the underlying search warrants and order of non-disclosure not been issued.
Accordingly, the Court finds that the Yahoo Search Warrants were properly issued and executed without notice to the Defendant under Section 2703(b) and, even if they were not so issued and executed, the order of non-disclosure under Section 2705(b) cured any defect.
Furthermore, the Court notes that, even if the Yahoo Search Warrants were defective under these provisions of the SCA, the SCA is a statute, not a constitutional rule requiring heightened protection. See United States v. Donovan,
The Court also notes that the Second Circuit has not yet addressed the question of the constitutionality of the SCA. United States v. Pierce,
Of relevance here, Section 2708 of the SCA provides that “[t]he remedies and sanctions described in this chapter are the only judicial remedies and sanctions for nonconstitutional violations of this chapter.” The SCA “allows for civil damages, see 18 U.S.C. § 2707, and criminal punishment, see 18 U.S.C. § 2701(b), but nothing more.” United States v. Smith,
Accordingly, “[t]he SCA ‘affords no suppression remedy for non-constitutional violations [and, therefore,] even if [the Defendant could show] a violation of the statute, exclusion would not be the appropriate remedy.’ ” United States v. Stegemann,
Indeed, the SCA “expressly rules out exclusion as a remedy” by making its remedial provisions exclusive. Smith,
The Court next addresses whether the Government’s failure to provide notice to the Defendant of the issuance and execution of the Yahoo Search Warrants constituted an independent violation of his Fourth Amendment rights despite the absence of a Rule 41 or SCA violation.
The Second Circuit has declined to en-graft a notice requirement onto the Fourth Amendment separate and apart from Rule 41. United States v. Pangburn,
Further, “[t]he prevailing view among federal courts is that the Fourth Amendment does not invalidate the delayed notice aspect of such warrants.” In the Matter of the Application of the U.S. for a Warrant Authorizing, No. 14-MJ-8116 (TJJ),
Accordingly, the Court finds that the Government’s failure to provide notice before or after the issuance and execution of the Yahoo Search Warrants did not violate the Defendant’s Fourth Amendment rights.
3. The Challenges to the Substance of the Yahoo Search Warrants
The Court now considers the Defendant’s more particularized arguments with respect to the Yahoo Search Warrants. The Defendant first challenges the Yahoo Search Warrants as overbroad and lacking in particularity, thereby violating his Fourth Amendment rights. The Defendant also challenges the issuance of the search warrants as based on certain misrepresentations and omissions made in Na-siatka’s underlying affidavits.
Regarding the background underlying the Fourth Amendment, the Second Circuit noted last year that “[t]he British Crown had long used these questionable instruments to enter a political opponent’s home and seize all his books and papers, hoping to find among them evidence of criminal activity.” Ganias,
“The Framers abhorred this practice, believing that ‘papers are often the dearest property a man can have’ and that permitting the Government to ‘sweep away all papers whatsoever,’ without any legal justification, ‘would destroy all the comforts of society.’ ” Ganias,
As the Supreme Court has explained, the English case, Entick, was “undoubtedly familiar to every American statesman at the time the Constitution was adopted, and considered to be the true and ultimate expression of constitutional law with regard to search and seizure.” Jones,
Accordingly, “the [Warrants C]lause was intended as a bulwark against
Of these two standards, “[b]readth deals with the requirement that the scope of the warrant be limited to the probable cause on which the warrant is based.” Id. (citation and quotation marks omitted). Thus, “the issue is whether there exists probable cause to support the breadth of the search that was authorized.” United States v. Dinero Express, Inc., No. 99 Cr. 975(SWK),
“Particularity is the requirement that the warrant must clearly state what is sought.” Cioffi,
However, “[t]he Fourth Amendment does not require that every item or document to be seized be specifically identified in the warrant; generic terms may be used to describe the materials to be seized.” United States v. Levy, No. S5 11 CR. 62(PAC),
Furthermore, “the type of evidence sought is also relevant; in particular, courts have recognized that documentary evidence may be difficult to describe ex ante with the same particularity as a murder weapon or stolen property.” Dupree,
“Courts tend to tolerate a greater degree of ambiguity where law enforcement agents have done the best that could reasonably be expected under the circumstances, have acquired all the descriptive facts which a reasonable investigation could be expected to cover, and have insured that all those facts were included in the warrant.” United States v. Buck,
Finally, where a magistrate finds probable cause and issues a search warrant, “the task of a reviewing court is simply to ensure that the ‘totality of the circumstances’ afforded the magistrate ‘a substantial basis’ for making the requisite probable cause determination.” United States v. Rissew,
In this case, the Defendant first argues that the Yahoo Search Warrants, on their face, were overly broad and insufficiently particularized, thereby violating his Fourth Amendment rights. In particular, the Defendant argues that the Yahoo Search Warrants unconstitutionally authorized the seizure of a “broad array of non-relevant material.” (Doc No. 44, at 13.) The Court disagrees.
As noted above, the Yahoo Search Warrants specifically limited the information .sought to certain business email accounts and to emails after January 1, 2010. Further, the Court notes that Attachment B, specifically incorporated by each of the Yahoo Search Warrants, contained a section entitled, “Information to be seized by the government,” which limited the seizure of information to that which constituted “fruits, evidence and instrumentalities of violations of Title 21, United States Code, Sections 331(a) and 333(a)(2) involving William Scully and/or Shahrad Rodi Lameh” and which pertained to “[t]he unlawful importation of unapproved prescription drugs into the United States” and/or “[t]he sale of unapproved prescription drugs in the United States.”
Indeed, “[generally, a warrant that authorizes a search for documents or things that constitute evidence of a particular crime is not overbroad; rather, ‘generic terms may be used to describe the materials to be seized so long as the warrant identifies a specific illegal activity to which the item related.’ ” United States v. Lebovits, No. 11-CR-134 (SMG)(SJ),
Even if the references to criminality here were “in truly vague terms, “any issue in that regard here is overcome by the reference in the warrants to crimes committed by specifically identified individuals,” namely, Scully and Lameh.” Lebovits,
The Court further notes that, as noted above, this case was formally designated “complex” and involves complex financial crimes, such as wire fraud and mail fraud. Cohan,
The Defendant’s reliance on Ciojfi is misplaced. There, the court suppressed email evidence seized under a warrant issued pursuant to § 2703. However, it did so because the “[t]he Warrant did not, on its face, limit the items to be seized from [the defendant’s] personal email account to emails containing evidence of the crimes charged in the indictment or, indeed, any crime at all. Nor did it attach and incorporate the Affidavit.”); see In the Matter of a Warrant for All Content & Other Info. Associated with the Email Account xxxxxxx@gmail.com Maintained at Premises Controlled By Google, Inc.,
The Defendant also argues that the Yahoo Search Warrants were overly broad and insufficiently particularized in violation
In In the Matter of the Search of Information Associated with [Redacted]@mac. com that is Stored at Premises Controlled by Apple, Inc.,
Here, the warrant describes only certain emails that are to be seized — and the government has only established probable cause for those emails. Yet it seeks to seize all e-mails by having them “disclosed” by [the email host]. This is unconstitutional because “[t]he government simply has not shown probable cause to search the contents of all emails ever sent to or from the account.”
Id. (quoting In re Applications for Search Warrants for Info. Associated with Target Email Address, No. 12-MJ-8119 (DJW),
The D.C. Opinion’s characterization of the Government’s application as an improper “seizure” of documents for which it had not shown probable cause cited to Coolidge v. New Hampshire,
The general warrant specified only an offense — typically seditious libel — and left to the discretion of the executing officials the decision as to which persons should be arrested and which places should be searched. Similarly, the writs of assistance used in the Colonies noted only the object of the search — any un-customed goods — and thus left customs officials completely free to search any place where they believed such goods might be. The central objectionable feature of both warrants was that they provided no judicial check on the determination of the executing officials that the evidence available justified an intrusion into any particular home.
Steagald v. United States,
In the D.C. Opinion’s view, “any e-mails that are turned over to the government are unquestionably ‘seized’ within the meaning of the Fourth Amendment.”
The Government filed a challenged seeking review of the denial of its application for a search warrant. The District Court
In In re Applications for Search Warrants for Info. Associated with Target Email Accounts/Skype Accounts, No. 13-MJ-8163 (JPO),
However, as in the Google case, the Court respectfully disagrees with these aspects of the D.C. Opinion, which was vacated on appeal to the District Judge, and the Kansas opinion because they “too narrowly construe[ ] the Fourth Amendment’s particularity requirement and [are] contrary to copious precedent.” Id. at 391.
In this regard, the Court agrees with the comprehensive analysis of United States Magistrate Judge Gabriel W. Gor-enstein in the Google case set forth in part, as follows:
“[a]mple case authority sanctions some perusal, generally fairly brief, of ... documents (seized during an otherwise valid search) ... in order for the police to perceive the relevance of the documents to crime.” United States v. Mannino,635 F.2d 110 , 115 (2d Cir.1980) (quoting United States v. Ochs,595 F.2d 1247 , 1257 n. 8 (2d Cir.1979)); accord Andresen v. Maryland,427 U.S. 463 , 482 n. 11,96 S.Ct. 2737 ,49 L.Ed.2d 627 (1976) (“In searches for papers, it is certain that some innocuous documents will be examined, at least cursorily, in order to determine whether they are, in fact, among those papers authorized to be seized.”). As the Second Circuit has noted, “allowing some latitude in this regard simply recognizes the reality that few people keep documents of their criminal transactions in a folder marked ‘drug records.’ ” United States v. Riley,906 F.2d 841 , 845 (2d Cir.1990). With respect to the execution of search warrants seeking physical evidence, courts “permit[] the government to examine paper documents that might otherwise fall outside the scope of a search warrant to make that determination, recognizing that different types of evidence present different tactical issues.” Metter,860 F.Supp.2d at 213 . In other words, courts have long recognized the practical need for law enforcement to exercise dominion over documents not within the scope of the warrant in order to determine whether they fall within the warrant. Such exercise of dominion essentially amounts to a “seizure” even if the seizure takes place at the premises searched and is only temporary. See, e.g., United States v. Jones, — U.S. -,132 S.Ct. 945 , 958,181 L.Ed.2d 911 (2012) (“A seizure of property occurs when there is some meaningful interference with an individual’s possessory interests in that property.”)(quoting United States v. Jacobsen, 466 U.S. 109 , 113,104 S.Ct. 1652 ,80 L.Ed.2d 85 (1984) (internal quotation marks omitted)).
In the ease of electronic evidence, which typically consists of enormous amounts of undifferentiated information and documents, courts have recognized that a search for documents or files responsive to a warrant cannot possibly be accomplished during an on-site search. Thus, “courts developed a more flexible approach to the execution of search warrants for electronic evidence, holding the government to a standard of reasonableness.” Metter,860 F.Supp.2d at 214 ; accord United States v. Graziano,558 F.Supp.2d 304 , 317 (E.D.N.Y.2008) (courts have afforded law enforcement “leeway in searching computers for incriminating evidence within the scope of materials specified in the warrant”) (citations omitted); United States v. Scarfo,180 F.Supp.2d 572 , 578 (D.N.J.2001) (“Where proof of wrongdoing depends upon documents ... whose precise nature cannot be known in advance, law enforcement officers must be afforded the leeway to wade through a potential morass of information in the target location to find the particular evidence which is properly specified in the warrant.”); see also United States v. Ganias,755 F.3d 125 , 134-36 (2d Cir.2014) (“[T]he ability of computers to store massive volumes of information presents logistical problems in the execution of search warrants.”).
Notably, every case of which we are aware that has entertained a suppression motion relating to the search of an email account has upheld the Government’s ability to obtain the entire contents of the email account to determine which particular emails come within the search warrant. See United States v. Bach,310 F.3d 1063 , 1065 (8th Cir.2002) (upholding as constitutionally reasonable the seizure of “all of the information” from defendant’s email account where the service provider did not “selectively choose or review the contents of the named account”); United States v. Ayache,2014 WL 923340 , at *2-3 (M.D.Tenn. March 10, 2014) (denying motion to suppress “seizure of all emails in a defendant’s account [ ] where there was probable cause to believe that the email account contained evidence of a crime”); United States v. Deppish,994 F.Supp.2d 1211 , 1219-21 & n. 37 (D.Kan.2014) (noting that “nothing in § 2703 precludes the Government from requesting the full content of a specified email account,” and concluding that such a search is not a “general search”); United States v. Taylor,764 F.Supp.2d 230 , 232, 237 (D.Me.2011) (upholding search of “all information associated with an identified Microsoft hotmail account”); United States v. Bowen,689 F.Supp.2d 675 , 682 (S.D.N.Y.2010) (Fourth Amendment does not require authorities to “ascertain which e-mails are relevant before copies are obtained from the internet service provider for subsequent searching”); United States v. McDarrah,2006 WL 1997638 , at *9-10 (S.D.N.Y. July 17, 2006) (denying motion to suppress seizure of “[a]ll stored electronic mail and other stored content information presently contained in” a specified email account), aff'd,351 Fed.Appx. 558 (2d Cir.2009).
Google, Inc.,
In sum, the Court concludes that the Yahoo Search Warrants were not overly broad or insufficiently particular in violation of the Fourth Amendment. Further, even if the Yahoo Search Warrants, on their face, violated the Defendant’s Fourth Amendment rights, for reasons explained
The Court now turns to the Defendant’s specific claims that Nasiatka made material misrepresentations and omitted material information in his affidavits in support of those warrants.
As to any alleged mispresentations, the Court notes that the Defendant does not request a hearing pursuant to Franks v. Delaware,
must be more than conclusory and must be supported by more than a mere desire to cross-examine. There must be allegations of deliberate falsehood or of reckless disregard for the truth, and those allegations must be accompanied by an offer of proof. They should point out specifically the portion of the warrant affidavit that is claimed to be false; and they should be accompanied by a statement of supporting reasons. Affidavits or sworn or otherwise reliable statements of witnesses should be furnished, or their absence satisfactory explained. Allegations of negligence or innocent mistake are insufficient.
Id. at 171,
Notably, “there is ... a presumption of validity with respect to the affidavit supporting the search warrant.” Franks,
However, in the event a defendant is successful in obtaining a Franks hearing, “[i]n order to challenge successfully a search warrant based on an attack on the allegations in a supporting affidavit, a defendant ‘must show by a preponderance of the evidence that the affidavit contained false statements that were material on the issue of probable cause.’ ” United States v. Wapnick,
In this case, in his main memorandum of law, reply brief, and at oral argument, the Defendant cites Franks once and only for the proposition that the “reckless disre
As to the Defendant’s specific claims in this regard, he first argues that both of Nasiatka’s affidavits in support of the Yahoo Search Warrants lead with highly inflammatory and unsupported language in paragraph 4 that MDK and Pharmalogical “have been ordering and receiving foreign drugs including cancer medication ... It has been further determined that that these foreign drugs have been sold and/or administered to, among others, cancer patients without their knowledge.” (Gov’s Exh. 2.)
However, the Defendant points to nothing specific with regard to this statement, or others like it in those affidavits, that were untrue. According to the Government, it has produced to the Defendant the invoices referenced to certain counts of the indictment evidencing the sale of oncology drugs, including but not limited to Mabth-era and Altuzan, that could not be sold legally in the United States. (Id., Exh. 9.)
Further, parsed closely, the words “have been sold,” in the passive voice, do not state that MDK and Pharmalogical sold such drugs “directly” to any cancer patients. However, even without such parsing, paragraph 4 of the affidavits does not imply or suggest direct sales, nоr do the underlying relevant counts of the Indictment rest on any alleged “direct” sales. Indeed, in the Court’s view, the affidavits in support of the Yahoo Search Warrants, considered in the totality, make clear that Pharmalogical and MDK, through which the Defendant allegedly committed the underlying offenses, sold drugs to medical facilities, not directly to individuals.
The Defendant next takes issue with the following language in Paragraph 38 of the affidavits discussing the nature of an undercover phone call made by a New York State Board of Pharmacy representative to an MDK phone number. (Oral Arg. Trans., 16-18.) According to Nasiatka, “[t]he undercover caller inquired as to how [MDK] could sell the advertised drugs at the prices offered and was told that they could offer these prices, as [MDK] had no sales force and shipped the drugs from overseas, as the company itself was located in the United Kingdom.” (Affids., at ¶ 33.)(emphasis added).
The Defendant contends that the emphasized language falsely suggested that MDK was located outside the United States. However, the Court finds that the immediately preceding language, “shipped the drugs from overseas,” considered in conjunction with the numerous references in the affidavits to Great Neck, New York as the location of Pharmalogical and MDK, render this argument without merit. In other words, - considered in its totality, the Court is of the view that the emphasized language, although not entirely artful, could not mislead the issuing judge.
The Defendant next argues that the Ya-' hoo Search Warrants neglected to reference the execution of the prior search warrants in this investigation, including the execution of the May 24, 2012 warrant of Pharmalogical’s office in Great Neck and the execution of the Warehouse Search Warrant. The Defendant contends that this omission was critical because those searches yielded, among other items, approximately 5,000 emails from medevl@ yahoo.com and taranismed@yahoo.com. Relatedly, the Defendant contends that some of these emails include written attorney opinions to him advising him that his business model for purchasing pharmaceutical drugs manufactured in Europe for sale in the United States was legal. (Scully’s Exhs. 4-5.)
The Court notes that the affidavit in support of the November 22, 2013 ¿Yahoo Search Warrant specifically referenced the
Indeed, the Government represents that execution of the Yahoo Search Warrants yielded evidence of the Defendant’s ongoing criminality after the execution of the Office Search Warrants and none of which could have been obtained through the execution of the Office Search Warrants.
The Court next considers the Defendant’s argument that Nasiatka should have revealed that he received certain legal advice advising him of the legality of his business model.
As background, in the criminal context, to benefit from an adviee-of-counsel defense, a party must show that he (1) “honestly and in good faith” sought the advice of counsel; (2) “fully and honestly la[id] all the facts before his counsel”; and (3) “in good faith and honestly follow[ed]” counsel’s advice, “believing it to be correct and intending that his acts be lawful.” United States v. Colasuonno,
Each requirement must be satisfied. Cf. United States v. Evangelista,
Here, the Court notes that, according to the Defendant, the Government did not become aware of the legal opinions the Defendant received regarding the legality of his business model until March 1, 2013. Therefore, the Defendant’s contention that this fact should have not have been omitted in the affidavits is apparently only relevant to the later-issued November 22, 2013 Yahoo Search Warrant.
The Government notes that the above-mentioned legal advice was limited to only two items the Defendant sold. The Government also argues that this legal advice was from 2009 and 2010; had express limitations and disclaimers; and was based on incomplete and inaccurate information and assumptions.
Here, without opining on the merits of the Defendant’s advice and counsel defense, the Court find that there is nothing to suggest that the written advice he received would have, if disclosed to the issuing judge, defeated a probable cause showing for the Yahoo Search Warrants.
The Defendant separately argues that Nasiatka should have revealed that following the New York State Board of Pharmacy undercover calls, the State of New York renewed Pharmalogieal’s license. The Government responds that this omission “has no impact on the probable cause presented in the affidavit because New York State advised the case agent that the license had to be renewed absent an arrest.” (Doc No. 48, at 10.) The Government does
Nevertheless, as with the advice and counsel defense, there is nothing to suggest the fact of Pharmalogical’s license renewal, if disclosed to the issuing judge, would have defeated probable cause for the Yahoo Search Warrants.
The Court reaches a similar conclusion with respect to the omission that during the time period of the FDA’s investigation, the United States Drug Enforcement Agency (“DEA”) conducted an onsite review of Pharmalogical and granted it a DEA license. The DEA license concerned controlled substances, which are not at issue in this case. While the Defendant is correct to the extent' that the DEA is likely “not in the business of reviewing a drug company and granting them a controlled substance license if [it] think[s] anything about that business is fraudulent or improper,” (id. at 20.), there is nothing to suggest the fact of the DEA license grant, if disclosed to the issuing judge, would have defeated probable cause for the Yahoo Search Warrants.
The Court also finds that the fact that the FDA returned certain items to the Defendant, including non-prescription drugs such as Juvederm, Resylane, and Euflexxa, following execution of the Office Search Warrants, if disclosed to the issuing judge, would have defeated probable cause for the Yahoo Search Warrants. The Court notes that the Government represents that these items were returned because the manufacturers had not provided complete information to the case agent and that, given complete information which was obtained later, the items would not have been returned.
The Defendant also argues that the issuing judge should have been made aware of the fact that, as a result of the execution of the Office Search Warrants in May 2012, Pharmalogical stopped selling all oncology products; that Scully thought he was complying with United States law; and he was prepared to take whatеver steps necessary to ensure such compliance. However, it is not clear how a cessation of allegedly unlawful activities obviates the need for further investigation regarding prior alleged unlawful activities.
In any case, the Court credits the Government’s response that, in October 2013, the Defendant sought a new wholesaler license in New York and New Jersey using the email address, medevl@yahoo.com and the company name, Zymodyne LLC, to continue his selling of misbranded and counterfeit cancer drugs. The Government notes that the November 22, 2013 Yahoo Search Warrant was sought in response to this continuing investigation and was limited to that email address.
The Defendant also argues that the affidavits improperly suggested that distributing non-English label drugs, a violation of an FDA regulation, 21 C.F.R. § 201.15(c)(1), gives rise to criminal liability.
However, as noted later, the Court finds that a violation of this FDA regulation can serve in part as a predicate basis for the relevant counts. The Court further determines that even if this were not so, references to violations of FDA regulations may, in certain circumstances and for purposes of showing probable cause in support of a search warrant, be relevant to allegations of alleged criminal conduct. This is particularly so where, as here, the alleged violation of the FDA regulation is intertwined with the alleged criminal conduct.
Based on the foregoing reasons, the Court rejects the Defendant’s constitutional arguments challenging the breadth and particularity of the Yahoo Search War
4. The Challenge to the Government’s Retention of Material Obtained as a Result of the Execution of the Yahoo Search Warrant
Relying on Ganias, the Defendant separately argues that the Government’s unlawful retention of all emails from medev l@yahoo.com and taranismed@yahoo.com, regardless of relevance and privilege, justifies suppression of the contents of those emails.
The Government responds that the Defendant was provided a copy of the disks received from Yahoo and that the emails have been properly retained for authentication purposes. The Government appears to argue that it may do this, approximately more than a year and half after executing the second Yahoo Search Warrant, notwithstanding the lack of any relevancy or privilege.
“Like all activities governed by the Fourth Amendment, the execution of a search warrant must be reasonable.” United States v. Lustyik,
In Ganias, the Government executed a search warrant at the offices of an accountant that permitted it to obtain records of two corporate clients of the accountant.
In late 2004, the Government began to suspect that the accountant was personally involved in criminal activity. Id. at 129. The Government then obtained a second warrant on April 24, 2006, to search the defendant’s personal financial records, images of whiсh had remained in the Government’s possession pursuant to the first warrant. Id. at 129-30. At the time the Government secured the second warrant, however, the images of the personal financial records “had been in the Government’s possession for almost two-and-a-half years” and “would not have existed but for the Government’s retention of those images” because, in the interim, the accountant had altered the original files. Id.
The Second Circuit noted that while “wholesale removal” of “intermingled computer records” may be permissible where off-site sorting is “necessary and reasonable,” “this accommodation does not somehow authorize the Government to retain all non-responsive documents indefinitely, for possible use in future criminal investigations.” Id. at 140 (citation omitted).
Responding to the Government’s argument that returning or destroying the non-responsive files is “entirely impractical” “because doing so would compromise the remaining data that was responsive to the warrant, making it impossible to authenticate or use it in a criminal prosecution,” the Second Circuit noted that it “[was] not convinced that there [wa]s no other way to
However, “[wjhile Gañías expressed skepticism about the need for retaining nonresponsive files for this purpose, it was willing to ‘assume’ the need existed and stated that in such an event, the retained material should not be used ‘for any other purpose’ — presumably referring to the material’s use in that case as the basis for a second warrant.” Google, Inc.,
Further, “although the Second Circuit has emphasized that unreasonable retention of irrelevant data can present a critical problem, there is no defined time period in which the Government must segregate the data responsive to the Warrant from the unresponsive, though some recent case law has outlined the broad contours of what is considered reasonable.” United States v. Romain, No. 13 CR. 724(RWS),
Here, the retention of documents allegedly outside the scope of the Yahoo Search Warrants mirrors the two and half year time-frame deemed unreasonable in Ganias. However, the Government states that any such emails are being retained for authentication purposes only and will not be used in future criminal investigations. Accordingly, consistent with Ganias, suppression is not an appropriate remedy for the alleged improper retention.
The Court further finds that, with respect to the retention of these emails, the Defendant has not shown a lack of good faith on the part of the Government. Compare Metter,
In sum, the Court recognizes that “it may be necessary for the Government to maintain a complete copy of the electronic information to authenticate evidence responsive to the warrant for purposes of trial.” Google, Inc.,
The Court notes that while suppression is not an appropriate remedy here, “Rule 41(g) of the Federal Rules of Criminal Procedure authorizes ‘[a] person aggrieved by an unlawful search and seizure of property or by the deprivation of property’ to move for the property’s return ‘in the district where the property was seized.’ ” See Lugo v. United States, No. 11-CV-3715 (SJF),
5. The Challenge to the Issuance and Execution of the Office Search Warrants
The Defendant makes largely the same arguments in seeking to suppress the materials derived from the execution of the
For substantially the same reasons set forth in its discussion of the various challenges to the Yahoo Search Warrants, the Court denies the Defendant’s suppression motion as to the Office Search Warrants. In particular, the Court finds that probable cause supported the issuance of the Office Search Warrants. Further, the Court finds that the Defendant has not shown that any alleged omissions would have defeated probable cause if disclosed to the issuing judge. The Court' further finds that Nasiatka did not make any misrepresentations to the issuing judge, and even if he did, they were not material so as to defeat probable cause. Finally, the Court finds that even if the Defendant had shown a Fourth Amendment violation, he has not made the required showing to avoid application of the “good faith” exception to the exclusionary rule.
The Court does note that, in conjunction with the affidavits for the issuance of the Office Search Warrant, an attachment to the May 18, 2012 warrant authorized retention of computers seized at the Great Neck offices “for the purpose of authentication and any potential discovery obligations in any related prosecution.”
However, consistent with Gañías, the Government will not be permitted to use any materials outside the scope of the warrant for purposes of a future investigation.
6. Challenge to the Issuance and Execution of the Warehouse Search Warrant
At oral argument, counsel for the Defendant requested that evidence derived from the execution of the Warehouse Search Warrant be suppressed. (Trans., at 23.) This particular relief was not specifically sought in the Defendant’s notice of motion or accompanying papers. In any event, the analysis of the Court in rejecting the Defendant’s challenge to the Yahoo Search Warrants based on the alleged misrepresentations and omissions applies with full force to the issuance and execution of the Warehouse Search Warrant. Further, the Defendant proffers no independent reason why the Warehouse Search Warrant was defective on its face or executed improperly-
7. The Good Faith Exception Applied to the Issuance and Execution of the Yahoo Search Warrants and Office Search Warrants
In any event, the Court notes that, even if the Defendant had shown a Fourth Amendment violation in connection with the issuance or execution of the Yahoo Search Warrants, the Office Search Warrants, or the Warehouse Search Warrant, suppression is a “ ‘prudential’ remedy, crafted by the Supreme Court-.‘to compel respect for the constitutional guaranty.’ ” United States v. Raymonda, 780 F.3d 105, 117 (2d Cir.2015) (quoting Davis v. United States,
“Because the remedy exacts a heavy toll on the justice system, however, the exclusionary rule does not apply whenever suppressing evidence ‘might provide marginal deterrence.’ ” Raymonda,
However, when a government agent acts with “an objectively reasonable good-faith belief that their conduct is lawful,” or when their conduct involves only “simple, isolated negligence,” exclusion simply “cannot pay its way.” Davis,
In light of this principle, courts have recognized that evidence obtained by government agents “in objectively reasonable reliance” on a warrant subsequently invalidated by a reviewing court is not generally subject to exclusion. See United States v. Falso,
To claim the benefits of the good faith exception, however, the agent’s reliance on the duly issued warrant “must be objectively reasonable.” Id. at 922,
Indeed, the Second Circuit and district courts in this Circuit have, at times, declined to evaluate a probable cause showing altogether and instead decided Fourth Amendment claims based on the good faith exception. United States v. Cancelmo,
Here, as noted above, the Court rejects on the merits each aspect of the Defendant’s Fourth Amendment challenges to the Yahoo Search Warrants, the Office Search Warrants, and the Warehouse Search Warrant.
Alternatively, applying the “good faith” exception to the exclusionary rule, the Court finds that the Defendant has not shown that the issuing magistrate on any of these search warrants was knowingly misled, or misled at all. Compare Reilly,
Nor is there any suggestion that any of the issuing judges wholly abandoned his or her judicial function. Further, the Court find that the affidavits in support of the Yahoo Search Warrants were not so lacking in indicia of probable cause or were facially deficient as to render reliance upon them unreasonable.
Quite the contrary, the Court finds that the Yahoo Search Warrants were properly supported by probable cause. As noted above, the affidavits made allegations against Scully and Lameh stating that they were potentially engaging in criminal conduct, including selling misbranded and unapproved drugs. The affidavits then related in detail the underlying investigation; including the undercover calls; the discount prices offered by Scully and Lameh; the undercover purchases; the seizures of drugs from third-party facilities that conducted business with Pharmalogical and/or MDK; the use of the business email address; and information connecting the foregoing to the Great Neck offices.
Accordingly, the Court finds that even had the Defendant shown a Fourth Amendment violation in connection with the issuance and execution of the Yahoo Search Warrants, it would apply the “good faith” exception to the exclusionary rule and decline to suppress the evidence obtained as a result.
B. The Motion to Strike All Counts Based on Violation of FDA Regulations
The Defendant also seeks to strike all counts of the Indictment based in whole or in part on the violation of FDA regulations and to strike any references to such regulations. In particular, the Defendant argues that any count based 21 C.F.R. § 201.15(c)(1), which, with certain exceptions, requires that drug labels be written in the English language, be stricken be
As noted above, the Defendant is charged with, among other counts, violation of 21 U.S.C. Sections 331(c) and 333(a)(2) of the FDCA. Sections 502 and 503 of the FDCA, codified in Sections 352 and 353, sets forth certain ways a drug can be deemed “misbranded” under the FDCA.
Of relevance here, Section 352(c), entitled “Prominence of information on label,” provides that a drug or device will be deemed “misbranded” “[i]f any word, statement, or other information required by or under authority of this chapter to appear on the label or labeling is not prominently placed thereon with such conspicuousness (as compared with other words, statements, designs, or devices, in the labeling) and in such terms as to render it likely to be read and understood by the ordinary individual under customary conditions of purchase and use.”
However, as the Defendant contends, nothing in the FDCA criminalizes the use of non-English language labels. Indeed, as the Government concedes, “[Congress] did not specify what terms would be likely to be understood by an ordinary individual for Section 352(c).” (Gov’s Brf., at 17.) Indeed, the Government also concedes that “misbranding” is “not a specified crime.” (Id.)
Rather, the Government relies in part on an FDA regulation, 21 C.F.R. § 201.15(c)(1), which provides: “All words, statements, and other information required by or under authority of the act to appear on the label or labeling shall appear thereon in the English language: Provided, however, That in the case of articles distributed solely in the Commonwealth of Puerto Rico or in a Territory where the predominant language is one other than English, the predominant language may be substituted for English.” The FDA issued this regulation pursuant to, among other provisions, 21 U.S.C. § 371(a), under which Congress vested in the Secretary of Health and Human Services (“HHS”) “[t]he authоrity to promulgate regulations for the efficient enforcement” of the FDCA, with certain specified exceptions.
Aside from a single district court case outside this circuit, United States v. Shrum, No. 4:09CR00295 (JMM),
In Shrum, the Defendant was charged with, among other counts, “misbranding” under the FDCA. At the jury trial, over the government’s objection and in accordance with the Defendant’s argument, the Court did not instruct the jury on the Code of Federal Regulations, “finding, that to instruct the jury on the regulations would be confusing as th[ose] regulations do not have the force and effect of criminal statutes.”
Following a conviction of “misbranding” and other counts, the Court denied the Defendant’s motion for a new trial. The
In United States v. 1500 90-Tablet Bottles,
The Court found that the Defendant violated 21 U.S.C. § 331(d) by introducing into interstate commerce and causing the introduction and delivery for introduction into interstate commerce “new drugs” within the meaning of 21 U.S.C. § 321(p), which did not comply with the specifications of a New Drug Application approved by the FDA that meets the requirements of 21 U.S.C. § 355(b) and (d). However, the Court did not find it necessary to address whether the'Defendant was criminally liable, or subject to a seizure and condemnation in a criminal proceeding, based on any violation of Section 352(c) or 21 C.F.R. § 201.150. Id. at 1217 n. 8.
In this case, at oral argument, the Government contended that “no count depends solely on the lack of an English language regulation” and pointed out the fact that none of the captions for the counts in the Indictment reference a C.F.R. regulation. (Trans., at 35-37.)
However, to base a ruling on whether the captions for the counts in the Indictment reference 21 C.F.R. § 201.15(c)(1) would be to elevate form over substance.
Indeed, the Government does not deny that it relies in part on the lack of an English language label for some of the counts. According to the Government, “[u]nder FDA regulations, a drug was deemed to be misbranded under section 352(c) unless ‘all words, statements, and other information required by or under authority of the [the FDCA] to appear on the label or labeling [ ] appear thereon in the English language.’ ” (Indictment, at ¶ 17.)
Therefore, regardless of whether the counts in the Indictment reference 21 C.F.R. § 201.15(c)(1), the Government takes the position that a violation of that FDA regulation serves as a prеdicate for a violation of Section 352(c) and is punishable as a federal crime.
In this regard, as the Defendant notes, Paragraph 33 of the Indictment contains a table in which the Government outlines what it considers various “method[s] of misbranding.” The table lists the following 15 instances of alleged “misbranding”:
Drug Quantity and Type Method of Misbranding
62 Mirena IUDs Lacked English label and phrase “Rx only” on label
53 vials of Aloxi Lacked English label
24 bottles of Aclasta Not FDA approved for distribution in the United States
12 bottles of Velcade Lacked phrase “Rx only”
12 bottles of Vidaza Lacked English label
18 Implanon subdermal Lacked English label Contraceptive implants
6 vials of Botox Lacked phrase “Rx only” on label
5 bottles of Venofer label Lacked phrase “Rx only” on label
4 vials of Zometa Lacked phrase “Rx only” on label
3 vials of Mabthera Not PDA approved for distribution in the United States
1 syringe of Avonex Lacked English label
1 box Plavix Lacked phrase “Rx only” on label
1 box Lipitor Lacked English label
14 Nova T380 IUDS Not FDA approved for distribution in the United States
20 boxes Euflexxa Lacked phrase “Rx only” oh label
(Indictment, at ¶ 33.)(emphasis added).
Thus, the Government appears to rely in at least six instances on a violation of 21 C.F.R. § 201.15(c)(1), as a predicate, in whole or in part, for a violation of Section 352(c), punishable as a federal crime. The question then becomes whether this theory is a correct or permissible reading of Section 352(c).
“The Constitution vests in Congress the legislative power to define criminal conduct.” United States v. Dhafir,
However, “Undoubtedly Congress may make it a crime to violate a regulation.” Whitman,
For example, in Curtiss-Wright Export Corp.,
In Touby v. United States,
Our cases are not entirely clear as to whether more specific guidance is in fact required. We need not resolve the issue today. We conclude that § 201(h) passes muster even if greater congressional specificity is required in the criminal context.
Id. at 165-66,
' The Court concluded that the statute “meaningfully constrain[ed] the Attorney General’s discretion to define criminal conduct,” by requiring that the powers only be exercised when “necessary to avoid an imminent hazard to the public safety,” by specifying what constitutes “an imminent hazard,” and by requiring notice to and consideration of comments from the Secretary of HHS. Id. at 166-67,
However, while “Congress may make it a crime to violate a regulation,” Whitman,
“The rule of lenity requires ambiguous criminal laws to be interpreted in favor .of the defendants subjected to them.” United States v. Santos,
Further, when, as here, a statute “has both criminal and noncriminal applications,” the Supreme Court has stated “the rule of lenity applies.” Leocal v. Ashcroft,
The Court notes that, in Babbitt, decided before Leocal, the Supreme Court stated, in a footnote, that it has “never suggested that the rule of lenity should provide the standard for reviewing facial challenges to administrative regulations whenever the governing statute author
However, under Supreme Court precedent in Grimaud and United States v. Eaton,
Thus, interpreting Babbitt footnote 18 to hold that deference to administrative regulations under Chevron v. Natural Resources Defense Council,
As Judge Sutton observed in his concurring opinion in Carter,
The [Babbitt ] footnote merely acknowledges the possibility of a pre-enforcement facial challenge to an agency’s regulation — because the agency had no interpretive authority in the first place, because the agency failed to follow the procedures for promulgating the regulation or because the statute plainly forecloses the agency’s interpretation. Yet not one of these challenges depends on, or demands consideration of, the rule of lenity. Why else would the Court distinguish cases involving “specific factual dispute[s]” from cases “reviewing facial challenges”? What purpose could this distinction serve unless the Court meant to create a rule for facial challenges? Although the footnote mentions that the Interior Department’s two-decade-old regulation comports with one of the rule of lenity’s objectives (promoting fair notice), it says nothing about other regulations or the rule of lenity’s separation-of-powers objective (reinforcing that Congress, not courts or agencies, define crimes). Before accepting the government’s broad reading of the footnote, one would have expected the Court to say more before allowing agencies to trump a doctrine Chief Justice Marshall described as “perhaps not much less old than construction itself.” 5 WTheat. At 95.
Further, not only would automatic Chevron deference to an administrative regulation be at odds with Grimaud and Eaton, it “would allow one administration to criminalize conduct within the scope of the ambiguity, the next administration to decriminalize it, and the third tо recriminalize it, all without any direction from Congress.” Id. at 729; see Whitman,
However, while the rule of lenity is not automatically trumped by Chevron deference, it is also true that Chevron deference is not trumped by the rule of lenity. See Oppedisano v. Holder,
The question then becomes how these two doctrines interact. The Supreme Court has stated that, within the Chevron framework, a court need “accept only those agency interpretations that are reasonable in light of the principles of construction courts normally employ.” Morrison v. Nat’l Australia Bank Ltd.,
Citing this principle of Chevron interpretation, in Carter, Judge Sutton, in his concurring opinion, took the position that the rule of lenity is a relevant interpretive rule that should be applied before deferring to an otherwise reasonable regulation.
However, this view, although logically coherent, is contrary to Second Circuit precedent. Indeed, Sash stated, also in a footnote, that “where an agency gives clear notice of the meaning of a statute by regulation, and where it is reasonable to charge defendants with notice of the agency’s- interpretation, Chevron deference will apply prior to the rule of lenity.”
In this case, the Court finds that 21 C.F.R. § 201.15(c)(1), although it does not specifically cite Section 352(c) of the FDCA, gives clear notice that “misbranding” under Section 352(c), a statutory term of art, encompasses, except as provided in the regulation, drugs or devices that contain words, statements, or other information, required by the FDCA and the regulations promulgated under that statute, that are not in English. See 1500 90-Tablet Bottles,
As to the question of what constitutes reasonable notice to a defendant of an agency’s interpretation of criminal conduct, case law in the Second Circuit is sparse at best. Outside this circuit, in General Elec. Co. v. EPA,
[W]e must ask whether the regulated party received, or should have received, notice of the agency’s interpretation in the most obvious way of all: by readingthe regulations. If, by reviewing the regulations and other public statements issued by the agency, a regulated party acting in good faith would be able to identify, with “ascertainable certainty,” the standards with which the agency expects parties to conform, then the agency has fairly notified a petitioner of the agency’s interpretation.
Id. (citing Diamond Roofing Co. v. Occupational Safety & Health Review Comm’n,
The Court acknowledges that this examination mirrors the first prong of Sash, whether an agency has given clear notice of the meaning of a statute by regulation. In any event, absent clear Second Circuit guidance, the Court adopts this approach and finds that that it is reasonable to charge defendants with notice of the FDA’s interpretation of FDCA, provided by 21 C.F.R. § 201.15(c)(1), particularly given the plain language of that regulation. This is so despite the fact'that the Government has apparently not pursued this interpretation in other cases aside from Shrum, a district court case in Arkansas, and 1500 90-Tablet Bottles, a district court case in Illinois.
As an aside, the Court notes that it is not clear that the rule of lenity applies to this particular issue at all. This is because Section 352(c) is not necessarily ambiguous, at least not unintentionally so, about the requirements for “Prominence of information on label.” Rather, given the broad language in that statutory provision, it appears that, contrary to the Defendant’s argument, Congress deliberately delegated or charged the FDA with specifically defining the requirements, criminal and civil, for “Prominence of information on label” of a drug or device.
Indeed, the Court notes that the “under authority of this chapter” only appears in subsection (c) of 352. Indeed, this language of delegation to the FDA does not appear elsewhere in Section 352 or Section 353, which again sets forth the numerous ways in which drugs or devices can be “misbranded.”
The Defendant also does not directly contend that Section 352(c) of the FDCA results in an unconstitutional delegation of Congress’s power to enact criminal laws. However, because the Defendant notes that an FDA regulation cannot form the basis for criminal liability absent a proper delegation by Congress, the Court will address whether this provision raises any non-delegation issues.
As background, “[delegations of congressional authority are upheld ‘[s]o long as Congress ‘shall lay down by legislative act an intelligible principle to which the person or body authorized to [exercise the delegated authority] is directed to conform.’ ’ ” Dhafir,
“The Supreme Court has applied the intelligible principle test to regulations that may be enforceable through criminal penalties.” United States v. Nichols,
In O’Hagan, the Supreme Court, faced with a claim that an administrative regulation exceeded the authority of the Securities and Exchange Commission (the “SEC”) under § 14(e) of the 1934 Act, upheld the validity of a rule that imposed liability on persons who trade on material, nonpublic information in connection with a tender offer “without regard to whether the trader owes a pre-existing fiduciary duty to respect the confidentiality of the information.” O’Hagan,
Section 14(e) prohibited “fraudulent ... acts ... in connection with any tender offer,” and authorizes the SEC to “define, and prescribe means reasonably designed to prevent, such acts.” Adopted under that statutory authorization, Rule 14e-3(a) forbade any person to trade on the basis of material, nonpublic information that concerns a tender offer and that the person knows or should know has been acquired from an insider of the offeror or issuer, or someone working on their behalf, unless within a reasonable time before any purchase.or sale of such information and its source are publicly disclosed. Id. at 669,
The Supreme Court held that, under § 14(e), the SEC could properly prohibit acts not themselves fraudulent under the common law or § 10(b), if the prohibition was reasonably designed to prevent acts and practices that were “fraudulent.” Id. at 673,
In Mistretta, a criminal defendant/petitioner challenged the constitutionality of Congress’s delegation of authority to the Sentencing Commission to promulgate determinative-sentence guidelines. The Court upheld this delegation on the basis of the intelligible principle test, although it noted that the delegation there “set[] forth more than merely an ‘intelligible principle.’ ” Mistretta,
In Yakus, the Supreme Court upheld a delegation to the Price Administrator (an executive official appointed by the President) to fix commodity prices that “ ‘in his judgment will be generally fair and equitable and will effectuate the purposes of th[e Emergency Price Control Act]’ when, in his judgment, their prices ‘have risen or threaten to rise to an extent or in a manner inconsistent with the purposes of this Act.’ ”
At least one circuit court has interpreted this aspect of Yakus as resting on an “intelligible principle” analysis, United States v. Goodwin,
As noted above, in Touby, the Supreme Court considered whether Congress must provide “more than an intelligible principle” when it “authorizes another Branch to promulgate regulations that contemplate criminal sanctions,” but the court did not answer the question. See Mango,
In this ease, the Court finds that only an “intelligible principle” is required when Congress authorizes the executive branch to promulgate regulations that contemplate criminal punishment. In this regard, absent a clear holding of the Supreme Court or the Second Circuit, the Court declines to find that more is required based on dicta in Supreme Court and other cases.
Applying that standard here, the Court notes that “impermissible delegation has been rarely found.” Dhafir,
Rather, “[the Supreme Court’s] application of the nondelegation doctrine principally [was] limited to the interpretation of statutory texts, and, more particularly, to giving narrow constructions to statutory delegations that might otherwise by thought to be unconstitutional.” Mistretta,
As to the non-delegation challenges to other provisions of the FDCA, the Court takes note of United States v. Travia,
There, the defendants were charged with violations under § 331(a) and (f) of the FDCA for selling balloons filled with nitrous oxide (laughing gas) at a rock concert. At issue was whether nitrous oxide was a drug since the balloons had no labels. The intent of the defendants was found sufficient to classify nitrous oxide as a drug under § 321(g)(1)(C). The defendants challenged the FDCA as violative of the non-delegation doctrine.
The District Court rejected this argument, reasoning in part that “Congress
The Court recognizes that Travia did not involve Section 352(c) of the FDCA, at issue here, which was promulgated under, among other provisions, 21 U.S.C. § 371(a), through which Congress vested in the Secretary of HHS “[t]he authority to promulgate regulations for the efficient enforcement” of the FDCA, with certain specified exceptions.
As noted above, Section 352(c) provides that a drug or device is “misbranded” under the statute “[i]f any word, statement, or other information required by or under authority of this chapter to appear on the label, or labeling is not prominently placed thereon with such conspicuousness (as compared with other words, statements, designs, or devices, in the labeling) and in such terms as to render it likely to be read and understood by the ordinary individual under customary conditions of purchase and use.”
The Defendant argues that, unlike in Grimaud, where Congress specifically wrote that violations of the Secretary of Agriculture’s “rules and regulations shall be punished,” here, the FDCA only “vested in the Secretary” “[t]he authority to promulgate regulations for the efficient enforcement of this chapter.” 21 U.S.C. § 371(a).
As an initial matter, the Court notes that courts, including the Supreme Court, have recognized that violations of certain FDA regulations can result in criminal penalties. Brown v. Williamson,
Here, the Defendant ignores Sections 331 and 333 of the FDCA. Section 331(a) “prohibit[s]” “[t]he introduction or delivery for introduction into interstate commerce of any food, drug, device, tobacco product, or cosmetic that is adulterated or mis-branded” and Section 331(c) “prohibit[s]” “[t]he receipt in interstate commerce of any food, drug, device, tobacco product, or cosmetic that is adulterated or misbrand-ed, and the delivery or proffered delivery thereof for pay or otherwise.” (emphasis added). As noted above, Section 352 and Section 353 sets forth the numerous ways in which drugs or devices can be “misbranded,” which encompasses regulations issued “under authority” of the FDCA under Section 352(c).
Importantly, Section 333(a)(1) provides that “[a]ny person who violates a provision of section 331 of this title shall be imprisoned for not more than one year or fined not more than $1,000, or both” and Section 333(a)(2) provides, in pertinent part, that any person who commits a violation of Section 331 “with the intent to defraud or mislead, such person shall be imprisoned for not more than three years or fined not more than $10,000, or both.”
Further, in the Court’s view, the language of Section 352(c) of the FDCA provides a constitutionally permissible “intelligible principle” to which the FDA is required to conform when issuing binding regulations under that provision.
The Court will address the other points made by the Defendant. As noted above, there is an exception to the English language labeling contained in 21 C.F.R. § 201.15(c)(1) for “Puerto Rico or in a Territory where the predominant language is one other than English.” In Court, counsel for the Defendant argued as follows:
[I]f English language label was a statutory requirement, the FDA could not, through a regulation, make an exception to it.
For example, the FDA could not say that it is lawful to sell heroin in Puerto Rico because that is a statutory crime clearly defined.
But they create an exception for English language labeling because it is found nowhere in the statute. They would have no power to make that exception otherwise, other than this requirement is solely regulatorily created and made.
(Trans, at 7.)
However, as noted above, under Gri-maud and Eaton, Congress may properly delegate to the executivé branch discretion to define criminal conduct, that is, “distinctly” and with an “intelligible principle” to which the executive branch must conform. If, as here, Congress has done that, then the executive branch, by necessity,
Relatedly, the Defendant notes that Congress enacted specific requirements with regard to “Rx Only”, see 21 U.S.C. § 353(b)(4)(A). According to the Defendant, “Congress could have easily included that requirement — indeed, Congress was very specific as to other requirements such as the ‘Rx Only’ wording — but Congress chose not to address the language issue or create a law requiring an English-language label.” (Doc No. 44, at 4.).
It is true that the prospect of non-English labeling was likely not an inconceivable scenario not envisioned by Congress when the FDCA “misbranding” provisions were enacted. However, even if Congress could have easily specifically proscribed such labeling, enforceable by criminal punishment, and even if such labeling was easily foreseeable, it does not follow that an FDA regulation defining “misbranding” to include such labeling cannot be enforced with criminal punishment, provided no constitutional right or doctrine is violated.
Accordingly, for the foregoing reasons, the Court denies the Defendant’s motion to strike all counts based in whole or part on any FDA regulations.
C. As to Count Seventy Three of the Indictment
The Defendant also moves to dismiss Count Seventy Three of the Indictment, which charges him with knowingly and intentionally trafficking in counterfeit drugs between approximately April 6, 2012 and April 24, 2012 in violation of 18 U.S.C. § 2320(a)(4). The Defendant challenges this count on the basis that it lacks evidentiary support, is highly prejudicial, and will inflame the jury.
According to the Defendant, “[t]he only reason count 73 exists is to transform a complicated regulatory case about the sale in the United States of pharmaceutical products approved for sale in Europe — a practice that Mr. Scully’s attorneys advised him was lawful — into a nefarious tale of someone intentionally trying to harm cancer patients as highlighted in [then] United States Attorney Lynch’s press release.” (Doc No. 44., at 22.) The Defendant notes that Lameh did not plead guilty to the trafficking in counterfeit drugs count. For these reasons, the Defendant contends that a Rule 29 motion following a potential conviction on this count will not suffice to address these concerns.
Of course, “[a] court may dismiss an indictment that is legally insufficient.” United States v. Thomas,
“It bears recalling that [the Second Circuit has] consistently upheld indictments that do little more than to track the language of the statute charged and state the time and place (in approximate terms) of the alleged crime.” United States v. Bout,
When deciding a motion to dismiss a,count of an indictment, a court must accept all the factual allegations in the indictment -as true. United States v. Clarke, No. 05 Cr. 17(DAB),
Where, however, the Government “has made what can fairly be described as a full proffer of the evidence it intends to present at'trial to satisfy the jurisdictional element of the offense,” a district court may evaluate “the sufficiency of the evidence ... on a pretrial motion to dismiss an indictment.” Id. at 777; see United States v. Gotti,
Here, however, by both the Defendant’s and the Government’s estimation, the Government has not made what can fairly be described as a full proffer of the evidence it intends to present at trial to satisfy the jurisdictional element of the offense.
Accordingly, for purposes of this branch of the Defendant’s motion, the Court is limited to evaluating the face of the Indictment. In the Court’s view, Count 73 of the Indictment is sufficient under Fed. R.Crim.P. 7(c)(1). The Court also finds that the conduct described in Count 73 is a plain, concise, and definite written statement of the essential facts constituting the offense charged. See United States v. Aleynikov,
Finally, given the documentary evidence referenced by the Government in connection with this count, the Court finds that this count is not prejudicial to the Defendant nor will it necessarily inflame the jury.
As to the Defendant’s contention that the Government has not produced sufficient evidence in support of this count, again the Court is limited to considering
Based on the foregoing reasons, the Defendant’s motion to dismiss Count seventy Three of the Indictment on the basis that it lacks evidentiary support, is highly prejudicial, and will inflame the jury, is denied.
D. As to Count Seventy Two of the Indictment
The Defendant also seeks to dismiss County Seventy Two of the Indictment, which charges him with Fraudulent Importation and Transportation of Goods between approximately February 10, 2009 and July 2013 in violation of Section 545 of the federal criminal code, on the basis that it merges with the Section 331(a) “mis-branding” counts as charged.
Section 545 of the federal criminal code, entitled “Smuggling goods into the United States,” states in relevant part that “[wjhoever fraudulently or knowingly imports or brings into the United States, any merchandise contrary to law, or receives, conceals, buys, sells, or in any manner facilitates the transportation, concealment, or sale of such merchandise after importation, knowing the same to have been imported or brought into the United States contrary to law ... [s]hall be fined under this title or imprisoned not more than 20 years, or both.”
As noted above, Section 331(a) of the FDCA prohibits “[t]he introduction or delivery for introduction into interstate commerce of any food, drug, device, tobacco product, or cosmetic that is adulterated or misbranded.” Section 333(a)(2) provides, in pertinent part, that any person who commits a violation of Section 331 “with the intent to defraud or mislead, such person shall be imprisoned for not more than three years or fined not more than $10,000, or both.”
Here, in Count Seventy Two of the Indictment, the Government accuses the Defendant of “knowingly, intentionally and fraudulently import and bring into the United States merchandise contrary to law, and did receive, conceal, buy, sell and facilitate the transportation, concealment and sale of such merchandise after importation, to wit: misbranded drugs, knowing such merchandise to have been imported and brought into the United States contrary to law.” (Indictment, at ¶ 50.)
Section 545 of the federal criminal code is not part of the FDCA and, in fact, was enacted before passage of the FDCA.
The Defendant argues that “misbrand-ing” as defined Sections 352 and 353, and in certain FDA regulations, cannot served as a predicate offense for a Section 545 count where, as here, it punishes the same conduct.
As an initial matter, the Court notes that, even assuming a Section 545 count could not rest in whole or part on a Section 331(a) count, the Government has not limited its Section 545 count to Section 331(a) as the predicate offense “contrary to law.” Indeed, as to the alleged “misbranding” used as a partial predicate for the Section 545 count, the Indictment does not identify any subsection and only says that mis-branded drugs were imported. In other words, the Defendant has simply chosen the subsection, Section 331(a), which most closely tracks the activity of the smuggling charge, as the .basis for his merger argu
To the extent the Government intends to rely on a violatiоn of Section 331(a) as the predicate offense for the Section 545 Count, the Court finds that it may do so.
On this issue, Roseman v. United States,
On appeal, the Ninth Circuit acknowledged that, “[t]his appear to be the first time that a court has been asked to uphold a conviction on the contrary-to-law provision of section 545 based on a violation of the FDCA.” Id. at 26. However, the Ninth Circuit rejected the Defendants’ argument that a prosecution under the contrary-to-law provision of Section 545 based on a violation of the FDCA is incompatible with the general purposes of the FDCA. The Court noted that “[o]n its face [Section 545] contemplates that one who violates it will have also violated another existing law in force at the time.” Id.
As to Section 331(a), the Court found that “[t]he transportation in interstate commerce is essentially a jurisdictional requirement the presence of which is necessary in order for Congress to act pursuant to the commerce clause of the Constitution.” Id at 25; see United States v. Vidal-Cruz,
For these reasons, the Court agrees with the Roseman court in that “prosecution under the contrary-to-law provision of section 545 is not foreclosed by the FDCA.” Id. at 26-27. Indeed, “[t]he sec) ond paragraph of section 545 — which is involved here — can only be interpreted as manifesting a determination by Congress that the importation itself of merchandise ‘contrary to~ law is a serious enough crime to warrant separate and rather severe punishment regardless of what the penalty is for the violation of another law.” Id. at 26.
However, as Roseman stated, “[t]his does not mean that [the Court] would sustain the imposition of consecutive sentences where the defendant is convicted under both acts. Such a sentence could pose a problem of double jeopardy.” Id. at 25 n. 10.
In other words, a conviction of County Seventy Two based on Section 545 and a conviction of the Section 331(a) “misbrand-ing” counts could present a “merger problem” with double jeopardy implications. Black’s Law Dictionary 1078 (9th ed.2009)(in criminal law, “merger” means “[t]he absorption of a lesser included offense into a more serious offense when a person is charged with both crimes, so that the person is not subject to double jeopardy.”).
Justice Stevens provided the fifth vote in favor of the Supreme Court’s judgment affirming the Seventh Circuit’s vacatur of Santos’s conviction. In his opinion concurring in the judgment, Justice Stevens took the position that the definition of “proceeds” might depend upon the particular “specified unlawful activity” underlying the money laundering charge at issue. Id. at 524-26,
In his dissent, Justice Alito, joined by Chief Justice Roberts and Justices Kennedy and Breyer, stated he would have held that the term “proceeds” means “gross receipts” in all circumstances. Id. at 546,
In this case, the Court notes that Section 545 carries “substantially more severe” criminal penalties than does a Section 331(a) violation. The Court further notes that a conviction based on a Section 545 count and a Section 331(a) count, at least as charged here, could punish the same conduct.
On the other hand, the Court notes that it is not clear that Section 545 and Section 331(a) share the same mens rea requirement. The relevant language of' Section 545 requires a fraudulent or knowing mens rea, while criminal punishment for a violation of Section 331(a) requires an intent to defraud. The Defendant contends that the Government has chosen to charge “fraudulent” importation and transportation of goods based on the title of Count Seventy Two. However, the Court notes that paragraph 50 of the Indictment, contained in Count 72 accuses the Defendant of violating Section 545 “knowingly, intentionally and fraudulently.”
Further, the Court notes Roseman’s conclusion that “culpability in the FDCA is not related to the manner of transportation, nor is it the same as acting knowingly.”
However, in any event, “[w]here there has been no prior conviction or acquittal, the Double Jeopardy Clause does not protect against simultaneous prosecutions for the same offense, so long as no more than one punishment is eventually imposed.” United States v. Josephberg,
“Since Josephberg, courts in this Circuit have routinely denied pre-trial motions to dismiss potentially multiplicitous counts as premature.” United States v. Medina, No. S3 13 CR 272(PGG),
In this case, the Defendant may be entitled to a lesser-included offense charge with regard to the Section 545 and any Section 331(a) counts. Furthermore, “[i]f the jury [ultimately] convicts on more than one multiplicitous count, the defendant’s right not to suffer multiple punishments for the same offense will be protected by having the court enter judgment on only one of the multiplicitous counts. Or, if judgment of conviction has been entered on more than one suсh count, the district court should vacate the conviction on all but one.” Josephberg,
However, these proceedings are currently in a pre-trial stage. Accordingly, the Court concludes that the question of whether a Section 331(a) offense is a lesser included offense of a Section 545 offense is premature and can only be determined at the trial. See United States v. Bozeman, No. 3:11-CR-129 (CCS),
In a similar vein, the Court finds that, at this stage, consideration of any double jeopardy issues is premature absent a conviction and consideration of the evidence at trial. See e.g. United States v. Salad,
Accordingly, the Defendant’s pre-trial motion to dismiss Count Seventy Two of
E. Request for Discovery/Bill of Particulars
The Defendant also seeks certain discovery that he claims the Government has improperly failed to turn over. In particular, the Defendant seeks disclosure under Rule 16 and Brady v. Maryland,
“Rule 16 of the Federal Rules of Criminal Procedure governs pre-trial discovery in criminal cases:” United States v. Delacruz, No. 14 CR 815(KBF),
Evidence that the Government does not intend to use in its case-in-chief at trial is material “if it could be used to counter the government’s case or to bolster a defense; information not meeting either of those criteria is not to be deemed material within the meaning of the Rule.” United States v. Stevens,
Indeed, “[djiscovery of evidence in criminal prosecutions is, inevitably, more restricted than discovery in civil cases.” United States v. Tolliver,
Further, “[t]here is no general constitutional right to discovery in a criminal case, and Brady did not create one.” Weatherford v. Bursey,
In this case, with regard to the known recordings, the Government represents that there are recordings of the Defendant’s conversation with the New York State Board of Pharmacy undercover; a video of a meeting the Defendant held with a customer; and that there is no other recording. The Government also states that there is a reference in paragraph 34 of the affidavits in support of the search warrant to a recording with Lameh which was in error and should have been noted as a recording with the Defendant.
The Defendant also seeks under Rule 16 recorded conversations with Courtney Fitt. The Defendant contends that these recordings may show that Pharmalogical operated overtly and gave accurate information to its customers about its processes. As to this limited request, the Court finds the Government’s conclusory assertion that these conversations are not proper Rule 16 discovery to be inadequate. Accordingly, the Court grants the Defendant’s request that these recordings be turned over.
As to the lab reports and notes regarding the chemical analysis of Altuzan, the Government has represented that it has complied with its Rule 16 obligations. In particular, the Government represents that it has turned over documents it had in its possession and has requested any other documents within these categories which will be produced upon receipt.
The Defendant has not presented any facts suggesting that the Government’s representations in this regard are inaccurate. The Defendant expresses concern that the Government failed to request these items from the FDA in a timely manner. It is not clear what the time frame was of these requests. In any event, the Defendant provides no legal basis as to why he is entitled under Rule 16 to these lab reports and notes at this time.
However, the Government has Brady obligations with which it must comply. To the extent any of this information constitutes Brady material, the Court notes that “Brady material that is not ‘disclosed in sufficient time to afford the defense an opportunity for use’ may be deemed suppressed within the meaning of the Brady doctrine.” United States v. Douglas,
The Court further notes that although “[t]he plain meaning of this provision does not require production of 3500 material under the Jenks Act before trial,” “[i]n practice ... courts in this district require the Government to produce 3500 material at least the Friday prior to the commencement of trial and sometimes earlier.” Delacruz,
As to the Defendant’s request for communications or records between the FDA and the Defendant and/or his counsel, the
As noted above, the Defendant also seeks disclosure of any statements by him, his lawyers, and others that support an advice of counsel defense. The Government represents that it knows of no such statements. Again, the Defendant has not presented any facts suggesting that the Government’s representations are inaccurate.
However, the Court reminds the Government that “Rule 16(a)(1)(A) provides that, upon request, the Government must disclose any written or recorded statements made by a defendant, before or after arrest, in response to interrogation by any person known to thе defendant to be a Government agent; and recorded testimony of the defendant before the grand jury which relates to the offense charged.” United States v. Crosby, No. 08CR186A (HBS),
To the extent the Defendant also seeks other Brady material, including alleged exculpatory statements of physicians and other potential witnesses who claimed that they knew what they were buying and were given truthful information from Pharmalogical as to the source of their products, the Court reminds the Government of its Brady obligations referenced above.
Finally, the Defendant seeks a Bill of Particulars. The Defendant claims that he needs this relief in order to adequately prepare his defense. According to the Defendant, “it is unclear in each count whether the alleged ‘scheme’ to sell ‘misbrand-ed’; drugs is limited to those drugs not approved for use in the United States, concerns the non-English label ... is an issue only because the label lacked the phrase ‘Rx Only,’ or is one of the other twenty ways a drug can be misbranded.” (Doc No. 44, at 28.)
“Rule 7(f) of the Federal Rules of Criminal Procedure permits a defendant to seek a bill of particulars in order to identify with sufficient particularity the nature of the charge pending against him, thereby enabling the defendant to prepare for trial, to prevent surprise, and to interpose a plea of double jeopardy should he be prosecuted a second time for the same offense.” United States v. Solnin, No. 12-CR-040 (ADS),
“A bill of particulars should be required only where the charges of the indictment are so general that they do not advise the defendant of the specific acts of which he is áceused.” United States v. Feola,
Here, the Defendant requests that the Government disclose to him the specific fraud alleged in each count, including the false statements alleged to have been made and the “misbranding” alleged in each count.
The Government responds that “all were fraudulent because: (i) they were unapproved new drugs which purported to be approved drugs, (ii) the website Q & A was misleading to the public, (iii) the website falsely portrayed many of the drugs with pictures of approved drugs and (iv) the drugs and devices Scully sold were illegal to sell in the United States.” (Doc No. 48, at 22.)
The Court agrees with the Defendant that this response by the Government is inadequate. Indeed, the Defendant notes that many of the drugs sold, like Botox, were apparently approved drugs.
Further, the Court notes that the Defendant is not requesting evidentiary material as part of a Bill of Particulars nor is he seeking information that has been provided in some acceptable alternate form. See generally United States v. Faux, No. 3:14-CR-28 (SRU),
Accordingly, the Court grants the Defendant’s request to obtain a bill of particular, stating (1) the specific fraud alleged in each count, including the false statements alleged to have been made; and (2) the “misbranding” alleged in each count.
III. CONCLUSION
Based on the foregoing reasons, the Defendant’s motion is denied except to the extent the Court grants the requests for the discovery enclosed by the Government in its motion papers, the discovery it represents it will provide, any recorded conversations with Courtney Fitt, and a Bill of Particulars as described above. The Government is directed to provide all the foregoing material to the Defendant within 30 days of the date of this order. That part of the Defendant’s motion to dismiss Count Seventy Two of the Indictment on merger grounds is denied as premature.
SO ORDERED.
