MEMORANDUM DECISION & ORDER
On September 12, 1995, the Court heard oral argument on and addressed and decided from the bench the numerous discovery requests of all parties. Herein the Court addresses the defendants’ 1 remaining motions, “death penalty” and otherwise, seeking variously: a decision from this Court holding 21 U.S.C. § 848 et seq. and § 848(e) in particular unconstitutional; dismissal of various indictment counts and portions of the government’s Notice of Intent to Seek the Death Penalty; and dismissal of the death penalty request against Tyrone Walker because the Department of Justice has engaged in systematic racial discrimination, or alternatively, discovery and a hearing on that issue. Also before the Court are the parties’ opposing motions concerning disclosure of the government’s witness list.
*841 1. BACKGROUND:
All three of the above-captioned defendants stand accused in each count of a nine-count superseding indictment filed on September 19, 1994. 2 On May 31, 1995, the government filed Notices of Intent to Seek the Death Penalty under 21 U.S.C. § 848(e)(1)(A) 3 against defendants Tyrone Walker and Walter Diaz, if they are convicted of Counts Two or Three of the indictment.
A. The Government’s Allegations:
The government alleges that between approximately January of 1989 and September of 1993, defendants Tyrone Walker, Walter Diaz and Anthony Walker conspired with each other and over a dozen others to possess cocaine, crack, and heroin, with intent to distribute in various locations within the Northern District of New York. It is alleged that this conspiracy was maintained throughout that entire period and that between November of 1992 and March of 1993 the three defendants’ roles in the conspiracy had evolved to a point where they were operating a Continuing Criminal Enterprise (“CCE”). On February 18, 1993, the three defendants allegedly caused the murder of Michael Monsour while attempting to rob Monsour of cocaine and narcotics proceeds.
II. DISCUSSION
The Court will address defendants’ motions under the Commerce Clause first, followed by seriatim disposition of the defendants’ death-penalty motions and all parties’ motions as to the witness list.
A. The Commerce Clause:
All the defendants seek an order dismissing Counts One through Seven of the superseding indictment on the basis that the relevant provisions of Title 18 and Title 21 are beyond Congress’ power under the Commerce Clause, or, in the alternative, an order dismissing all the superseding indictment Counts because the government cannot show a nexus between these charges and interstate commerce.
Under Article I, § 8 of the United States Constitution, the Commerce Clause, Congress has the power to “regulate Commerce with foreign Nations, and among the several States, and with the Indian Tribes.” U.S. Constitution, Art. I, § 8, el. 3. The Supreme Court has long held that the commerce power “is complete in itself, may be exercised to its utmost extent, and acknowledges no limitations, other than are prescribed in the constitution.”
Gibbons v. Ogden,
Commerce Clause jurisprudence originally developed through a line of cases which sought to limit state legislation that was perceived as discriminatory against interstate commerce.
See generally Wickard v. Filbum,
Jones & Laughlin Steel
and its progeny significantly expanded the scope of the Commerce Clause to any activity that had a substantial effect on interstate commerce.
See, e.g., Wickard, supra,
(expanding congressional power under the Commerce Clause to completely home-grown and home-consumed wheat). The only check on the scope of the Commerce Clause appeared to be whether there was a rational basis for the federal legislation.
See, e.g., Heart of Atlanta Motel, Inc. v. U.S.,
1. United States v. Lopez and the Commerce Clause:
In
Lopez,
the Supreme Court affirmed a lower court’s decision to overturn a defendant’s conviction for possession of a firearm in a school zone in violation of the Gun-Free School Zones Act, 18 U.S.C. § 922(q)(2)(A).
Id.,
— U.S. at-,
The Lopez Court traced the history of Commerce Clause jurisprudence in detail and determined that there were only three categories of activities that Congress had the power to regulate under the authority of the Commerce Clause.
First, Congress may regulate the use of the channels of interstate commerce ... Second, Congress is empowered to regulate and protect the instrumentalities of interstate commerce, or persons or things in interstate commerce, even though the threat may come only from intrastate activities ... Finally, Congress’ commerce authority includes the power to regulate those activities having a substantial relation to [substantially affects] interstate commerce.
—U.S. at-,
It should be noted at the outset, however, that contrary to defendants’ counsel’s earnest and thoughtful arguments,
Lopez
does not signal a “reversal of Supreme Court tolerance for Congressional activity under the Commerce Power.” Nor, in this Court’s view, does it “open to reanalysis” (Tyrone Walker’s Omnibus Brief, Pt. I), all
pre-Lopez
Commerce Clause eases. The test applied in
Lopez
is
“consistent
with the great weight of [prior Supreme Court] case law.”
Lopez,
—U.S. at -,
*843 2. 21 U.S.C. §§ 841, 846, & 848, and 18 U.S.C. § 924, and the Commerce Clause 4
a. The Activities Regulated by the Statutory Provisions at Issue are Within the Category Of Activities that Congress May Regulate Under the Commerce Clause:
The defendants contend that the counts pending against them 5 should be dismissed because they were enacted by a Congress that was acting beyond the scope of its Commerce Power. The Court must first determine whether the statutes concern activities that may properly be placed within any of the categories set forth in Lopez — categories within which Congress may act pursuant to its Commerce Power.
The activity that is sought to be “regulated” by the statutory provisions challenged herein fall within the second and third categories set forth in
Lopez.
The activities, as a general category, concern the sale of narcotics and related activities. Thus, although a criminal enterprise, the narcotics themselves are both commodities and “things in interstate commerce,” as set forth in the second
Lopez
category.
See Lopez,
— U.S. at -,
b. The Activities Regulated By the Subject Statutory Provisions Substantially Affect Interstate Commerce:
Since the statutes at issue do not have a jurisdictional component, the Court must next determine whether these activities have a substantial nexus with interstate commerce. Lop
ez,—
U.S. at-,
As the Supreme Court has previously held, such a nexus may be shown by reference to Congress’ findings as to the
“class of activities
regulated” assuming consideration of “the ‘total incidence’ of the practice on commerce.”
Perez v. United States,
Title 21 U.S.C. § 801 sets forth the congressional “Findings and declarations” relating to the statutory provisions challenged *844 herein. 6 As to the control and enforcement of illicit drugs and drug trafficking as a class of activity, Congress has expressly found that “the illegal importation, manufacture, distribution, and possession and improper use of controlled substances have a substantial and detrimental effect on the health and general welfare of the American people.” 21 U.S.C. § 801(2). Congress has also found that a “major portion of the traffic in controlled substances flows through ... interstate commerce” and that “[ijneidents of the traffic which are not an integral part of the interstate ... flow ... have a substantial and direct effect upon interstate commerce.” 21 U.S.C. § 801(3) (reasons set forth include prior and subsequent interstate transport).
Neither the statute at issue in
Lopez,
nor its legislative history, contained any legislative findings so as to guide the courts in analyzing any effect on interstate commerce.
Lopez,
—U.S. at-,
These defendants are charged under statutes that regulate activities that clearly fall within the broad categories described in Lopez and prior case precedent. Moreover, Congress has set forth clear findings and declarations with respect to the illegal sale and trafficking of illicit drugs and related activities. The Court holds that there is a substantial nexus between the class of activities at issue and interstate commerce. 7 Therefore, Congress properly enacted the subject statutory provisions of Title 21 and Title 18 pursuant to its power under the Commerce Clause. Accordingly, the Court denies all of the defendants’ motions to dismiss each count of the superseding indictment on Commerce Clause grounds.
B. 21 U.S.C. § 848 et seq.:
Defendants Tyrone Walker and Walter Diaz join together in mounting numerous constitutional and statutory attacks on § 848 and the superseding indictment.
1. Appellate Review under § 848:
Tyrone Walker, joined by Walter Diaz, seeks an order declaring the § 848 death penalty unconstitutional for failing to provide meaningful appellate review. The defendants characterize § 848’s appeal provisions, set out at 21 U.S.C. § 848(q), 8 as sharply *845 curtailing appellate review, thereby rendering the statute unconstitutional.
The inquiry’s starting point is the well established requirement that any statutory scheme in which death is an available penalty must afford meaningful appellate review: “meaningful appellate review ... ensures] that the death penalty is not imposed arbitrarily or irrationally ... [and] minimizes the risk of constitutional error.”
Parker v. Dugger,
The Court first observes that the statute places no limitation on the bases over which appellate review of a death sentence may be undertaken. Section 848(q)(2) makes clear that the entire record is amenable to review when the court of appeals scrutinizes a sentence of death. The Court also notes that the statute places no limitation on, and indeed expressly contemplates the existence, of conventional appeal of the judgment of conviction.
The defendants point to § 848(q)(3)(A) & (B)’s requirement that the court of appeals affirm the sentence unless it determines that the sentence was imposed under the influence of passion, prejudice, or any other arbitrary factor, or that the aggravating and mitigating findings are unsupported, and argue that these provisions limit the
scope
of appellate review. While the “arbitrary factor” language is subject to varying interpretation, that ambiguity itself militates for a construction that avoids the conclusion that the statute is unconstitutional.
See Rust v. Sullivan, 500
U.S. 173, 189,
Other district courts called upon to construe this language have applied the foregoing canon of construction and concluded that the phrase “any other arbitrary factor” is broad enough to encompass the essential elements of meaningful appellate review.
See United States v. Pretlow,
This Court is likewise of the opinion that were an appellate court to detect any of the potential horribles paraded by the defendants (ie. error of law, improper summation, improper instruction of the jury, outside influence on the jury) it would be free under the statute to conclude that the sentence was infected with an “arbitrary factor,” thereby requiring remand of the case for reconsideration. See § 848(q)(3). It follows then, that § 848 affords meaningful appellate review and as such, defendants’ motion for a declaration that the 21 U.S.C. § 848(e) death penalty provision is unconstitutional for failing to provide meaningful appellate review is DENIED.
2. Statutory Aggravating Factors:
If the defendants are convicted under Count Two or Three, § 848(i)-(o) prescribes *846 the procedures by which the penalty phase sentencing hearing will be conducted. Under § 848(j) the government will open the hearing before the same jury that decided the defendant’s guilt, (absent certain exceptions at § 848(i) not relevant to this discussion), and attempt to establish certain statutory aggravating factors, § 848(n)(1)-(12) and certain wow-statutory aggravating factors of which it has previously given notice. § 848(h)(1)(B). Aggravating factors must be established beyond a reasonable doubt and must be found by the jury unanimously. § 848(j) & (k).
The defendants are then afforded the opportunity to rebut the government’s showing and to establish mitigating factors, which must be established by a preponderance of the evidence and may be found by any individual juror or any number of jurors. § 848(j) & (k). The government is then permitted to reply in rebuttal. § 848(k).
Under the statutory structure enumerating the aggravating factors, § 848 establishes two categories of statutory aggravating factors: one category is listed in § 848(n)(l) and the other category is listed in § 848(n)(2)~ (12). The jury must find at least one of the enumerated statutory aggravating factors from each category before the death penalty may be considered. § 848(k). After finding at least one statutory factor from each category, the jury may go on to consider wow-statutory aggravating factors (“any other aggravating factors which the government will seek to prove as the basis of the death penalty”) as to which the government has previously given notice as required under § 848(h)(1)(B). The death penalty may be considered only if the jury has found one aggravating factor from each category. The death penalty may be imposed only if the jury goes on to find that the two required statutory factors, plus any other statutory and/or non-statutory aggravating factors it has found, sufficiently outweigh any and all mitigating factors that it may have found. 9 If no mitigating factors have been found the jury must determine whether the aggravating factors themselves are sufficient to justify a sentence of death. § 848(k).
Defendants Tyrone Walker and Walter Diaz posit numerous constitutional infirmities in the aggravating factor statutory scheme.
a. The § 848(n)(l) Statutory Aggravating Factors:
Defendants argue that because the § 848(n)(1) 10 aggravating factors simply duplicate an essential element of the homicide offense defined in § 848(e)(1)(A), the statute is unconstitutional, if not in whole, at least to the extent that it permits the jury to consider a duplicated factor when it weighs its aggravating and mitigating findings.
It is well settled that a capital punishment scheme must “genuinely narrow the class of persons eligible for the death penalty.”
Zant v. Stephens,
The Court first finds that 21 U.S.C. § 848(e)(1)(A) is within that class of statutes which sufficiently legislatively narrows the
*847
class of death-eligible defendants by restricting application of capital punishment to intentional homicides committed in connection with large scale narcotics trafficking.
Accord Pitera I,
Defendants point out that this is a statute of the “weighing” variety. They argue that if the jury weighs as an aggravating factor that which is an essential element of the crime charged (and by definition previously established at the guilt phase) it will result in “inevitably tiltfing] the sentencing scales toward the imposition of the death penalty.”
Lowenfield,
The foregoing analysis establishes, however, that the jury will have performed the constitutionally requisite narrowing function at the guilt phase.
Pitera I,
b. The § 848(n)(2)-(12) Factors:
Defendants Tyrone Walker and Walter Diaz also seek an order dismissing certain of the § 848(n)(2)-(12) statutory factors that the government has given notice that it will seek to establish at sentencing.
11
Their primary arguments concern application of the rule of lenity to the statutory language defining the aggravating factors. Defendants articulate the rule that “when there are two rational readings of a criminal statute, one harsher than the other, we are to choose the harsher only when Congress has spoken in clear and definite language.”
McNally v. United States,
*848 i. § 848(n)(7):
In its Notices of Intent to Seek the Death Penalty against both Walter Diaz and Tyrone Walker, the Government has alleged that in committing the offenses described in Counts II and III of the superseding indictment (i.e. the murder of Michael Monsour), both defendants did so “as consideration for the receipt and in expectation of the receipt of something of pecuniary value, that is, drugs and money.” The statute contemplates as an aggravating factor circumstances where “the defendant committed the offense as consideration for the receipt, or in expectation of the receipt, of anything of pecuniary value.” § 848(n)(7)
Defendant’s argue that § 848(n)(7) is intended to apply only to either “murder for hire ... or, for example, to gain an inheritance or life insurance proceeds.” (Tyrone Walker Brief in Support of Death Penalty Motions at 62). They argue that the government’s evidence will at best show that the Monsour homicide was committed in the course of a robbery, and that the intent with which the murder is carried out has to be pecuniary gain over and above robbery. The Court finds that defendants’ interpretation is an unreasonably restrictive reading which does not comport with the structure and plain language of the statute.
The Court first notes that § 848(n)(7) has two prongs: that the offense was committed “as consideration for the receipt” or “in expectation of the receipt” of something of pecuniary value. Defendants’ view seems correct that the first prong’s use of the “as consideration for” language of contract contemplates murder-for-hire. 12 For this Court to transport that restriction to the second, “in expectation of the receipt,” prong, however, would render the second clause mere surplusage. 13 Defendants also point to the statutory structure and argue that since this factor follows § 848(n)(6) (“The defendant procured the commission of the offense by payment, or promise of payment, of anything of pecuniary value”) (emphasis added), Congress intended § 848(n)(7) to identify the flip-side of procuring a murder-for-hire. It is enough to say that a finding that the first clause does indeed comprehend the other half of murder through solicitation does not preclude Congressional use of the second clause as a means of narrowing application of the death penalty by establishing as an aggravating factor all intentional murders committed with the expectation of any pecuniary benefit.
Nor can the Court reasonably restrict the term “expectation” to its Dickensian aspect of inheritance. Webster’s defines “expectation” as “1. the act of expecting or state of being expected. 2. Eager anticipation.” 14 Webster’s II New Riverside Dictionary 455 (1994). “Expect” is defined therein as “1. to look forward to the probable occurrence or appearance of; 2. to consider likely or certain.” Id. In short, nothing in the plain and ordinary meaning of “expectation” serves to limit an understanding of Congress’ use of the term to murders in expectation of the receipt 15 of an inheritance. Defendants themselves recognize this by admitting to the language’s sweep, murder in expectation of insurance proceeds. They offer no prinei *849 pled reason why the second prong stops there and reaches no further, however, and the Court sees no textual basis upon which to conclude that the second clause admits these fact patterns but excludes all others.
In short, nothing in the plain language or the structure of the statute militates for defendants’ restriction of “in expectation of the receipt, of anything of pecuniary value.” Indeed use of the phrase
“anything
of pecuniary value” further contravenes such a narrowing construction.
See Smith
— U.S. at -,
ii. § 848(n)(8):
The government also alleges that in committing the offenses described in Count II and III of the superseding indictment, both defendants did so “after substantial planning and premeditation.” The statute contemplates as an aggravating factor circumstances where “the defendant committed the offense after substantial planning and premeditation.” § 848(n)(8).
The defendants first argue that the use of the word “substantial” is impermissibly vague in that it defies a definition clear enough to guide a jury in distinguishing between those who “simply” plan and “premeditate” and those who do so “substantially.” The Court joins with the other Courts which have considered these arguments and finds that substantial (considered in opposition to minimal) is a familiar concept in the context of criminal law and one readily understood by a properly instructed jury.
See United States v. Cooper,
Defendants also argue that the facts of this case will not support a finding that the defendants engaged in substantial planning. A determination as to whether the substantial planning and premeditation factor can be properly applied to these defendants must await factual development at trial.
iii. § 848(n)(5):
The government also alleges that in committing the offenses described in Counts II and III of the superseding indictment both defendants “knowingly created a grave risk of death to other persons in addition to victim Michael Monsour,” those “other persons” being third parties who were present during the course of conduct which concluded with the Monsour murder. The statute contemplates as an aggravating factor circumstances where “in the commission of the offense or in escaping apprehension for a violation of subsection (e) of this section, the defendant knowingly created a grave risk of death to one or more persons in addition to the victims of the offense.”
The defendants point to varying interpretations by various state courts of
similarly
constructed statutory aggravating factors regarding risk to third parties. In particular, defendants point to the Annotation, “Sufficiency of Evidence for Purposes of Death Penalty to Establish Statutory Aggravating Circumstance that in Committing Murder, Defendant Created Risk of Death or Injury to More Than One Person, to Many Persons, and the Like — Post
Gregg
cases,”
The government alleges that in the course of the Monsour incident, bystanders were both shot at and threatened at gunpoint, circumstances which if proven might satisfy even the narrowest construction of “knowingly created a grave risk of death to one or more persons.” In light of those allegations, further decision as to the ambit of this aggravating factor can await factual development at trial. At that time, assuming resolution of the question becomes necessary, both the parties and the Court will have the benefit of argument on the issues in the context of a fully developed factual record.
3. Non-Statutory Aggravating Factors:
As indicated above, only after finding at least one statutory factor from each of the aforementioned categories can the jury go on to consider nore-statutory aggravating factors of which the government has previously given notice, defined (or undefined) as “any other aggravating factors which the government will seek to prove as the basis of the death penalty.” § 848(h)(1)(B).
Defendants’ Tyrone Walker and Walter Diaz seek an order dismissing the rara-statutory factors the government has given notice of, or, in the alternative, an order empaneling successive guilt and penalty phase jurors, so as to allow defense voir dire on the non-statutory aggravating factors.
a. The Non-Delegation Doctrine:
Defendants first argue that Congress’ concession to the government the power to “define” a § 848 violation by its statutorily-derived ability to assert “any other aggravating factors,” represents an impermissible delegation of legislative power in violation of the non-delegation doctrine. As derived from the United States Constitution’s mandate that “all legislative Powers herein granted shall be vested in a Congress of the United States,” U.S. Const. Art. I, § 1, that doctrine prohibits Congress from delegating its entire legislative power to another branch of government.
See Mistretta v. United States,
Defendants’ argument, however, stems from their fundamental misrepresentation of § 848’s capital punishment scheme: their assertion that the non-statutory aggravating factors perform the constitutionally required narrowing- of the class of death-eligible defendants. In fact, this Court has
*851
already found that the requisite narrowing is achieved through legislative restriction of those murderers properly subject to capital punishment,
see Lowenfleld,
In short then, through their allegation and proof of non-statutory aggravating factors “the prosecution engages in advocacy, not legislation.”
See Pitera I,
b. Proportionality Review:
Defendants argue that proportionality review
17
is necessary in
all
cases in which a death penalty scheme permits a jury to consider non-statutory aggravating factors. Their argument is derived in whole from the
Zant
Court’s acknowledgment and approval of Georgia’s statutory scheme, which mandated appellate review “to avoid arbitrariness and to assure proportionality.”
Zant,
*852
In light of the foregoing the Court finds that proportionality review is neither constitutionally required for, nor statutorily foreclosed from, appellate review of death sentences under § 848.
Accord, Pitera I,
c. Unadjudicated Criminal Conduct and the Relaxed Evidentiary Standard:
The government’s Notice of Intent to Seek the Death Penalty alleges as non-statutory aggravating factors, numerous instances of unadjudicated criminal conduct allegedly engaged in by Tyrone Walker and Walter Diaz. 18 Assuming that a penalty phase is necessary, those defendants seek an order from this Court dismissing all aggravating factors which allege unadjudicated criminal conduct, and precluding the introduction of evidence of such at any penalty hearing. The Court herein also addresses defendants’ motions seeking an order declaring the § 848 death penalty unconstitutional because the relaxed evidentiary standard 19 at the penalty phase lowers the government’s burden and renders any death verdict unreliable.
As the defendants point out, the issue of unadjudicated criminal conduct lurks squarely at the intersection (read collision) of two powerful but competing principles of death penalty jurisprudence. One principle teaches that “ ‘the penalty of death is qualitatively different’ from any other sentence____ [T]his qualitative difference between death and other penalties calls for a greater degree of reliability when the death sentence is imposed.”
Lockett v. Ohio,
The competing principle teaches that “in capital cases the fundamental respect for humanity underlying the Eighth Amendment ... requires consideration of the character and record of the individual offender and the circumstances of the particular offense as a constitutionally indispensable part of the process of inflicting the penalty of death.”
Woodson v. North Carolina,
The latter principle militates strongly for introduction of evidence of unadjudicated criminal conduct. The defendants rely primarily
20
on the former principle and argue
*853
that in the absence of a judgment of conviction, any such evidence is inherently unreliable and more prejudicial than probative. As a starting point, the Court will not hold that in all instances, evidence of unadjudicated criminal conduct is necessarily so unreliable as to be more unfairly prejudicial than probative. Such a “rule of unreliability” is far too broad — indeed, were the Court to hold such and also adopt defendants’ arguments that the § 848(n)(2)-(12) factors define the world of admissible adjudicated criminal conduct, § 848(h)(1)(B)’s concept of “any other aggravating factors” begins to look like an empty set: in no sense consistent with the desire “for the jury to have as much information before it as possible when it makes the sentencing decision.”
Gregg,
The non-statutory factors that the government will offer at sentencing will always seek to “increase the likelihood that [defendants will] be sentenced to death,”
Barefoot,
[T]he Constitution does not prohibit consideration at the sentencing phase of information not directly related to either statutory aggravating circumstances or statutory mitigating factors, as long as that information is relevant to the character of the defendant or the circumstances of the crime ... What is important at the selection stage is’ an individualized determination on the basis of the character of the individual and the circumstances of the crime.
Barclay v. Florida,463 U.S. 939 , 967 [103 S.Ct. 3418 , 3433-34,77 L.Ed.2d 1134 ] (1983) (Stevens, J., joined by Powell, J., concurring in the judgment) (citations omitted).
While § 848(j) expressly disengages the Federal Rules of Evidence for the sentencing hearing, it mandates that the Court exclude any information “if its probative value is substantially outweighed by the danger of unfair prejudice, confusion of the issues, or misleading the jury.” § 848(j). Coupled with the constitutionally requisite heightened reliability required at capital sentencing,
see Gardner v. Florida,
In the event that a sentencing hearing is necessary, the Court will undertake to employ procedures which will ensure the reliability of the evidence supporting the government’s allegations of unadjudicated criminal conduct. Both sides will be required to brief *854 the issues so as to assist the Court in arriving at a process by which the Court can do so. See, e.g., Smith, Unreliable and Prejudicial, 93 Colum.L.Rev. at 1271-77 (surveying methods employed by various states).
Based on the foregoing, however, and on thorough review of the relevant case law, the Court will not hold that all unadjudicated criminal conduct is inadmissible at the penalty phase. Such a rule seems plainly inconsistent with, and unduly restrictive of, the overarching principle that a properly guided jury must be afforded any relevant information “about the crime and the defendant that the State, representing organized society, deems particularly relevant to the sentencing decision.”
Gregg,
Based on the foregoing conclusion that § 848(j)’s standards are more than sufficient to allow the Court to ensure the reliability, the probity and the fundamental fairness of the information offered at sentencing, the Court also DENIES defendants’ motions seeking an order declaring the § 848 death penalty unconstitutional based on the evidentiary standard to be employed at the penalty phase.
See Williams,
d. Particular Non-Statutory Aggravating Factors:
Tyrone Walker (joined by Walter Diaz where relevant to him) objects to various non-statutory aggravating factors in particular.
i. Prior Criminal Conduct:
Tyrone Walker objects to the introduction, as non-statutory aggravating factors, of the government’s allegations of two unadjudicated homicides (Govt.Notice of Intent, ¶¶ C.l, C.4.a), an attempted robbery for which he has been convicted (Govt.Notice of Intent, ¶ C.2), a prior narcotics conviction (Govt.Notice of Intent, ¶ C.3), and distribution of a controlled substance to a person under twenty-one years of age (Govt.Notice of Intent, ¶ C.6). He argues that Congress made different choices in defining relevant prior offenses in the § 848(n)(2)-(12) statutory aggravating factors. 22 He also argues that Congress failed to include here as statutory aggravating factors, prior criminal conduct which it included elsewhere as statutory aggravating factors. See 18 U.S.C. § 3592(c)(2) (“previous conviction of prior violent felony involving a firearm”). The argument goes that by alleging as non-statutory factors conduct which the Congress could have chosen to include as statutory aggravating factors, the United States Attorney impermissibly contravenes Congress’ will.
In light of the Court’s previous conclusions as to the narrowing function served by the statutory aggravating factors, and the wholly separate function of the non-statutory aggravating factors in ensuring that the “jury have before it all possible relevant information about the individual defendant whose fate it must determine,”
Jurek,
ii. Future Dangerousness:
Defendants’ motions to dismiss the non-statutory aggravating factor of “future dangerousness” on vagueness grounds is DENIED.
See Jurek,
iii. Tyrone Walker’s “Callousness” & Walter Diaz’s “Defiance”:
In paragraph C.4.g of its Notice of Intent, the government alleges that “Tyrone Walker has displayed a total lack of remorse for the killing of Michael Monsour, in that, while incarcerated in the Federal Correctional Institution in Otisville, New York, Tyrone Walker stated, in substance, that he and Walter killed the “motherf* * *er.” In light of the obvious prejudice entailed by singling out and presenting this epithet to the jury as a non-statutory aggravating factor, and in light of the numerous competing inferences which can be drawn from the use of such vulgarisms, and overall, in light of the sheer triviality of this allegation as compared to the portentous purposes for which it is alleged, the Court can conceive of no purpose for which presentation of this information as a discrete non-statutory aggravating factor could be viewed as more probative than unfairly prejudicial.
Much the same can be said for the government’s allegations, as a non-statutory aggravating factor, that at his sentencing in 1994 for an attempted robbery Walter Diaz replied to the judge “I’ll be back.” Numerous competing inferences can be drawn from such a statement in that context, no matter how reliably it is established that such was made. While nothing herein precludes the introduction of either statement at trial or sentencing, under this Court’s more prejudicial than probative balancing, such allegations simply will not bear the weight of being singled out in the Government’s Notice of Intent to Seek the death penalty and presented to the jury as non-statutory aggravating factors.
As such, these non-statutory aggravating factors are hereby DISMISSED.
iv.Victim Impact Evidence:
Defendants Tyrone Walker and Walter Diaz seek an order dismissing as a non-statutory aggravating factor, victim impact evidence from the family of Michael Mons-our. They argue that at the time § 848(e) was enacted the introduction of such evidence was unconstitutional. For the same reasons discussed under § i. Prior Criminal Conduct,
swpra,
and in light of
Payne v. Tennessee,
e. Bills of Particular as to the Non-Statutory Aggravating Factors:
On September 12, 1995, the Court addressed from the bench the parties’ voluminous requests for bills of particular, reserving on the requests seeking particularization of the statutory aggravating factors. Incorporating that discussion of the sufficiency of the discovery provided to date, and mindful of the further discovery that was ordered at that time, the Court again notes that the decision of whether or not to grant a bill of particulars rests within the sound discretion of the district court.
United States v. Panza,
Such motions should be granted only where they are necessary (1) to inform the accused of the charge against him with sufficient precision to enable him to prepare his defense and avoid surprise and (2) to enable him to interpose a plea of double jeopardy should he be prosecuted a second time for the same offense.
Wong Tai v. United States,
In light of the foregoing, then, and after full consideration of all the parties’ arguments for and against ordering these bills, and after a complete review of the superseding indictment, the government’s Notice of Intent to Seek the Death Penalty, and all the discovery materials the government has provided to date, the Court orders the government to file the following additional limited bills of particular:
i. A bill particularizing, if and as known to the government, the identities of the drug dealers allegedly robbed by Tyrone Walker from 1988 to 1993, and the dates and locations of those robberies; (Referring to the government’s allegations in paragraphs C.4b and C.4e of its Notice of Intent to Seek the death penalty against Tyrone Walker);
ii. Particularizing, if and as known to the government, the identity of the persons under twenty-one years of age as to whom it is alleged that Tyrone Walker and Walter Diaz distributed controlled substances, and the dates and locations of those distributions; (Referring to the government’s allegations in paragraph C.6 of its Notice of Intent to Seek the Death penalty against Tyrone Walker and paragraph C.6 of its Notice of Intent to Seek the Death penalty against Walter Diaz).
4. Alternative Juries:
In the event that the non-statutory aggravating factors are not dismissed, Tyrone Walker and Walter Diaz also seek from the Court an order that a non-death qualified jury be empaneled for the guilt phase of their trial and that a separate, death-qualified jury be empaneled at the penalty phase. They argue that absent alternative juries they will face incurable prejudice from the necessity of having to voir dire at the trial’s outset on issues and allegations relevant to sentencing only.
In its decision from the bench of September 12, 1995, the Court discussed
Buchanan v. Kentucky,
When those principles are read in light of § 848(i)(l)(A)’s affirmative injunction that “the hearing
shall
be conducted ... before the jury which determined the defendant’s guilt”
23
(emphasis added), the Court is com
*857
pelled to hold that defendants’ prejudice arguments, arguments held in common with all capital punishment defendants, are insufficient to move the Court to disregard the statute’s clear intent. The Court has also carefully considered the dicta of the New Jersey Supreme Court in
State v. Biegenwald,
5.Mitigating Factors:
Defendants Tyrone Walker and Walter Diaz seek an order that, to the extent § 848(o)(1) limits the presentation of mitigating evidence, it is unconstitutional. They argue that § 848(o )(1) 24 may serve to limit the ability of black and other minority defendants to present certain mitigating evidence. By way of example, defendant Walker indicates that if a penalty stage is reached, he may seek to offer evidence that he was raised surrounded by urban violence and in a culture of pervasive racism, in mitigation of his punishment.
The Court holds in common with the other district courts who have considered these arguments that the purpose of this provision is to “prohibit juries from considering impermissible factors, such as the race of the defendant or victim, as ones which in any way favor the imposition of the death penalty.”
Pretlow,
6. Arbitrary Choice of Defendants for Capital Punishment:
Defendants Tyrone Walker and Walter Diaz seek an order dismissing the death penalty aspects of this ease as to them because they have been arbitrarily singled out for capital punishment. As noted by Justice Raggi in addressing the same arguments in
Pitera I,
“whether the crime is capital or not, ‘so long as the prosecutor has probable cause to believe that the accused committed an offense defined by statute, the decision whether or not to prosecute, and what charge to file or bring before a grand jury, generally rests entirely in its discretion.’”
Pitera I,
As such, their motions to dismiss the death penalty aspects of this case because they have been arbitrarily and capriciously singled out for capital punishment is DENIED.
7. Capital Punishment as Both Cruel and Unusual Punishment and Inherently Arbitrary and Capricious:
Defendants Tyrone Walker and Walter Diaz seek an order declaring § 848(e) uncon
*858
stitutional under all circumstances since it amounts to cruel and unusual punishment, and is incapable of fair and even-handed administration in violation of Due Process. After full consideration of their arguments in this regard, the Court finds that dispositive Supreme Court precedents compel the conclusion that their motions on these bases must be DENIED.
See Gregg,
C. Systematic Racial Discrimination:
Defendants Tyrone Walker and Walter Diaz seek an order dismissing the death penalty aspects of the government’s case because the Department of Justice (“DOJ”) has engaged in systematic racial discrimination, or, in the alternative, a hearing on DOJ discrimination, and an order for broad discovery into DOJ’s capital policies & procedures.
1. Elements of Fifth Amendment Implied Equal Protection:
A successful equal protection claim must establish that the disputed state action (i) has been applied in a discriminatory manner against the individual defendant, or singled out the defendant from a group of similarly situated individuals, and (ii) was motivated by discriminatory purpose or intent.
Wayte v. United States,
The burden, of course, lies with the defendant challenging the government’s action. However, where, as here, the defendant merely seeks to obtain discovery, the requisite threshold showing is measured by a standard significantly lower than the “heavy burden” normally associated with disposition at trial.
See Bradley,
Applied to defendants’ Fifth Amendment equal protection claims, then, the standard associated with discovery requires that defendants show both a “colorable claim that he was singly selected” for capital prosecution and also “make a colorable showing that the reason for his” selection was premised on impermissible factors and discriminatory intent of the part of the prosecutors. Id.
2. Defendants’ Failure to Make the Threshold Showing Necessary to Obtain Discovery:
i. No Colorable Claim as to Discriminatory Application
To satisfy the first element of their equal protection claim for purpose of discov
*859
ery, defendants must make “a threshold showing that others — for example, white defendants — who have been eligible for the death penalty, because of the applicability of ... § 848, have not faced prosecution”.
Bradley,
Statistics proffered in Defendant’s brief suggest that African Americans are 4.7 times more likely than whites to be charged under the capital punishment provisions of § 848(e). Certainly, these numbers, standing alone, are significant. Defendants, however, “offer no evidence specific to [their] own ease that would support an inference that racial considerations played” a role here.
McCleskey,
This Court is mindful that its decision on this issue may
appear
to be in conflict with Judge Rambo’s analysis in
Bradley.
It is not. In that case, Judge Rambo clearly explained that “defendant must first show a colorable claim that he was singly selected for prosecution ... defendant has not shown this,”
ii. No Colorable Claim as to Discriminatory Purpose
Even if the defendants had satisfied the first element of the equal protection inquiry, this Court finds that they have not fulfilled the requirements of the second. The
McCleskey
Court noted that the phrase “ ‘discriminatory purpose’ ... implies more than intent as volition or intent as awareness of consequences. It implies that the decisionmaker ... selected or reaffirmed a particular course of action at least in part ‘because of,’ not merely ‘in spite of its adverse effects upon an identifiable group.”
As with the first element, a general proposition that African Americans comprise a disproportionately large percentage of § 848(e) capital defendants does not in itself compel an inference that decisions to pursue the death penalty have been motivated by race. Concededly, race assumes a pervasive role in society. Here, however, defendants are asked to present “some evidence” that the Attorney General acted impermissibly and with discriminatory purpose when initiating death penalty prosecutions. Like the defendant in McCleskey, defendants have chosen to respond with a collection of disconcerting statistics. In considering defendants’ show *860 ing, the Court looks to McCleskey when holding that mere statistics, as presented here, are insufficient to satisfy the threshold requirements of the second element of defendants’ equal protection claim.
In reaching this determination this Court takes notice of Judge Rambo’s finding from her recent in camera review of most of the documents defendants seek to discover here. Following her examination of documents associated with § 848 cases wherein authorization for death penalty prosecutions were sought from the Attorney General, Judge Rambo concluded that “the court can find no support for the hypothesis that the Attorney General approves or disapproves death penalty requests bases on racially impermissible factors. Nor does the evidence submitted indicate that individual United States Attorneys seek the death penalty for racially based motives.” United States v. Bradley, No CR-92-200-01, slip op. at 5-6 (M.D.Pa. May 27, 1994). Mindful of these unambiguous conclusions, this Court notes that to grant defendants’ motion would result only in examination of substantially the same documents and files in search of the same “smoking gun” that was nowhere to be found in Bradley. For all the foregoing reasons, the Court finds that the defendants have presented an inadequate basis upon which to resume that search.
Defendants’ motions for an order dismissing the death penalty request because the DOJ has engaged in systematic racial discrimination, or, in the alternative, for a hearing on DOJ discrimination, and an order for broad discovery into the DOJ’s capital policies & procedures, is DENIED.
D. Witness Lists:
All the defendants join in seeking early production of the government’s witness lists. To compel production of a witness list the defendant must show a specific need for its disclosure.
United States v. Cannone,
Walter Diaz and Tyrone Walker’s principal arguments are that in light of the government’s expressed intention to call as many as fifty witnesses, early production of the list is necessary for defense preparation. The Court first notes that many of these witnesses are already known to the defense in light of the Brooklyn attempted robbery trial, and discovery and publicity regarding the Monsour and Manhattan incidents. The Court also notes that it has authorized a great deal of investigative resources placed at the defendants’ command, further undercutting defendants’ arguments. The Court also acknowledges the government’s assertion that some of its witnesses have already been contacted by the defendants’ investigators.
Beyond this, the defendants have made no sufficient showing of need for early witness list production and so, the motion for early production is DENIED.
Passing early production, because two of these defendants are charged with capital offenses, those defendants have a statutory right to disclosure of the names and places of abode of veniremen and witnesses three days before commencement of trial pursuant to 18 U.S.C. § 3432. The government has made a motion under the express exception to § 3432, which requires disclosure three days in advance of trial “except that such list of veniremen and witnesses need not be furnished if the court finds by a preponderance of the evidence that providing the list may jeopardize the life or safety of any person.” 18 U.S.C. § 3432. The government has moved for an order indicating that the Court will delay identification of their witnesses until after the trial has commenced.
26
The government also mam
*861
tains that in any event, it has no obligation to provide the addresses of its witnesses.
See United States v. The Insurgents of Pennsylvania,
As I notified all counsel, on September 1, 1995, on the government’s motion, the Court undertook an
in camera
review of the evidence the government proffered regarding the dangers of threats and intimidation directed against witnesses. The Court reserved, and continues to reserve, on the question of whether the evidence was sufficient to establish, by a
preponderance,
such danger to any person so as to justify invoking the exception to § 3432. The Court has also requested that the government submit further affidavits regarding their allegations. In fairness to both sides, however, the Court indicates now that the evidence was sufficient to raise grave concerns as to the safety of third parties.
See, United States v. Higgs,
By way of conclusion, then, early production of the witness list is DENIED and the Court RESERVES on the government’s application under the exception to § 3432.
III. CONCLUSION
By this Memorandum Decision and Order, coupled with the Court’s decisions from the bench on September 12, 1995, the Court has addressed each and every of the government’s, and the defendants’, numerous and extensively briefed pre-trial motions. All requests for relief which have heretofore not been expressly granted or reserved upon are denied.
IT IS SO ORDERED.
Notes
. All the defendants have sought leave to join in each other’s motions where applicable to them. The government has taken no position on the defendants’ requests in this regard, which are hereby GRANTED.
. The indictment charges each defendant under each count as follows:
Count One: engaging in a Continuing Criminal Enterprise, (“CCE”) under 21 U.S.C. § 848(a) & (c);
Count Two: CCE-Murder under 21 U.S.C. § 848(e)(1)(A);
Count Three: Narcotics Conspiracy-Murder, under 21 U.S.C. § 841(b)(1)(A), § 848(e)(1)(A) and 18 U.S.C. Section 2;
Count Four: Narcotics Conspiracy under 21 U.S.C. § 841(a)(1);
Count Five: Narcotics Possession with Intent to Distribute under 21 U.S.C. § 841(a)(1) and 18 U.S.C. Section 2;
Counts Six & Seven: Use of a Firearm in Relation to a Crime of Violence and Drug
Trafficking Crime, 18 U.S.C. § 924(c)(1) and Section 2;
Counts Eight & Nine: Possession by a felon, in and affecting commerce, of a firearm under 18 U.S.C. § 922(g) and Section 2.
. This statute states in pertinent part that:
Any person engaging in or working in furtherance of a Continuing Criminal Enterprise, or any person engaging in an offense punishable under § 841(b)(1)(A) ... who intentionally kills or counsels, commands, induces, procures or causes the intentional killing of an individual and such killing results shall be sentenced to any term of imprisonment, which shall not be less than 20 years, and which may be up to life imprisonment, or may be sentenced to death.
21 U.S.C. § 848(e)(1)(A).
. The defendants do not argue that the statutes at issue are not rationally-based. Nevertheless, the Court finds that the rationale set forth in the relevant statute and the government’s papers— the control of drug trafficking — sets forth a sufficient basis to withstand constitutional scrutiny.
See
21 U.S.C. § 801;
see also United States v. Mendenhall,
. In particular, those counts pursuant to 21 U.S.C. § 848(a) & (c) (CCE), 21 U.S.C. § 848(e)(1)(A) (CCE-Murder), 21 U.S.C. § 841(b)(1)(A), § 846, & § 848(e)(1)(A) (Narcotics Conspiracy-Murder), 21 U.S.C. § 846 & § 841 (Narcotics Conspiracy), 21 U.S.C. § 841(a)(1) (Narcotics Possession with Intent to Distribute), and 18 U.S.C. § 924(c)(1) (Use of a Firearm in Relation to a Crime of Violence and Drug Trafficking).
. These findings, while not directly expressed in Title 18 U.S.C. § 924(c)(1), are as relevant to that provision as to the challenged provisions under Title 21, since both provisions concern crimes of violence and drug trafficking. Accordingly, the Court is informed by these findings as to both provisions.
. A number of courts have found federal jurisdiction over the distribution of controlled substances based on a nexus between the activity and interstate commerce.
See, e.g., United States v. Montes-Zarate,
.That section reads in pertinent part as follows: (1) In any case in which the sentence of death is imposed under this section, the sentence of *845 death shall be subject to review by the court of appeals upon appeal by the defendant____ An appeal under this section may be consolidated with an appeal of the judgment of conviction. Such review shall have priority over all other cases.
(2) On review of the sentence, the court of appeals shall consider the record, the evidence submitted during the trial, the information submitted during the sentencing hearing, the procedures employed in the sentencing hearing, and the special findings returned under this section.
(3) The court shall affirm the sentence if it determines that—
(A) the sentence of death was not imposed under the influence of passion, prejudice, or any other arbitrary factor; and
(B) the information supports the special finding of the existence of every aggravating factor upon which the sentence was based, together with, or the failure to find, any mitigating factors as set forth or allowed in this section.
In all other cases the court shall remand the case for reconsideration under this section.
21 U.S.C. § 848(q).
. It is apparently hotly disputed whether the jury must find that the aggravating factors outweigh the mitigating factors “beyond a reasonable doubt,” or merely find that the aggravating simply outweighs the mitigating. Notwithstanding the volume of bold-face ink spilt over the question to date, the Court herein leaves the issue for future consideration.
. These statutory "Mens Rea” factors are that:
(1) The defendant—
(a)intentionally killed the victim;
(b) intentionally inflicted serious bodily injury which resulted in the death of the victim;
(c) intentionally engaged in conduct intending that the victim be killed or that lethal force be employed against the victim, which resulted in the death of the victim;
(d) Intentionally engaged in conduct which—
(i) the defendant knew would create a grave risk of death to a person other than one of the participants in the offense; and
(ii) resulted in the death of the victim.
21 U.S.C. § 848(n)(l)(a)-(d).
. The § 848(n)(2)-(12) statutory aggravating factors which the government has given notice it intends to assert against these defendants are:
(5) In the commission of the offense or in escaping apprehension for a violation of subsection (e) of this section, the defendant knowingly created a grave risk of death to one or more persons in addition to the victims of the offense.
(7) The defendant committed the offense as consideration for the receipt, or in expectation of the receipt, of anything of pecuniary value.
(8) The defendant committed the offense after substantial planning and premeditation.
§ 848(n)(5), (7), (8).
. Compare 18 U.S.C. § 1958 (the federal "murder-for-hire statute”) which speaks of “intent that a murder be committed ... as consideration for the receipt of ... anything of pecuniary value.” 18 U.S.C. § 1958(a) (emphasis added).
. Compare 18 U.S.C. § 1958, which expressly transports the language of contract to both its prongs as follows: "with intent that a murder be committed ... as consideration for the receipt of, or as consideration for a promise or agreement to pay, anything of pecuniary value.” 18 U.S.C. § 1958(a) (emphasis added). There is no dispute that § 1958 speaks only to murder-for-hire: had Congress intended defendants' narrow construction it could have indicated so by similar transportation here.
. "Future prospects <great expectations>," id., runs a distant third.
. Nor does the term "receipt" serve to limit interpretation of the statute to pecuniary benefit which accrues to a defendant in a transactional sense, which seems to be the gist of defendants’ argument. "Receipt” in its plain and ordinary meaning is defined as “la. An act of receiving something; b. The fact of being received." Webster's II New Riverside Dictionary 981 (1994) "Receive” is defined as “1. To acquire or take (something given, offered or transmitted): GET.” Id.
. By way of example:
Many of the statutes include an aggravating circumstance focusing on a threat from the act of murder to particular persons other than a homicide victim, or to the general public requiring variously that the defendant had created a great risk of death to "more than one person,” to "another person in addition to the victim,” to “many persons,” and the like. Some of the statutes provide that the risk be created "in a public place” and by means of a “weapon or device normally hazardous to the lives of more than one person”, and others include a risk of "bodily injury” as well as a risk of death.
64 A.L.R.4th, § 2[a] at 846.
. Proportionality review is defined as appellate inquiry into "whether the [death] penalty is nonetheless unacceptable in a particular case because disproportionate to the punishment imposed on others convicted of the same crime.”
Pulley v. Harris,
.As a free-standing non-statutory aggravating factor the government has alleged against both defendants a heretofore unadjudicated homicide, allegedly committed on February 23, 1993, by both defendants. Both defendants are currently awaiting trial for this crime on a Manhattan indictment charging them with murder.
Under the rubric of "future dangerousness," the government alleges as non-statutory aggravating factors, inter alia, the following unadjudicated criminal conduct against Tyrone Walker: an unadjudicated 1987 homicide; robbery at gunpoint of numerous drug dealers between January of 1988 and November of 1990 and November of 1992 and January of 1993; a narcotics-related assault on May 11, 1992; and while incarcerated, participation in the stabbing of a fellow inmate on September 6, 1992, solicitation of a hit-man to kill a witness, and possession of a weapon (a razor).
Under future dangerousness, the government alleges similar criminal conduct against Walter Diaz including inter alia, that on Januaiy 31, 1995, while incarcerated, he set fire to his cell.
. Section 848(f) provides in relevant part:
Any other information relevant to such mitigating or aggravating factors may be presented by either the Government or the defendant, regardless of its admissibility under the rules governing admission of evidence at criminal trials, except that information may be excluded if its probative value is substantially outweighed by the danger of unfair prejudice, confusion of the issues, or misleading the jury.
21 U.S.C. § 848(j).
. Defendants also point to the eight states which per se exclude consideration of such evidence. It must be noted that four of these ex- *853 elude such evidence on statutory or other parochial grounds and that sixteen states allow the admission of such evidence, of which ten employ heightened procedural protections. See Smith, Steven Paul, Unreliable and Prejudicial: The Use of Extraneous and Unadjudicated Offenses in the Penalty Phases of Capital Trials, 93 Colum.L.Rev. 1249, 1267-83 (1993).
. Absent trivial allegations, i.e. a defendant's use of a vulgar epithet to refer to his alleged victim, as the government alleges here as a non-statutory aggravating factor.
. By way of example: 21 U.S.C. § 848(n)(2) reads “the defendant has been convicted of another federal offense or a State Offense resulting in the death of a person” (emphasis added); §§ 848(n)(4) & (10) call for either two or more defined offenses for distribution of a controlled substance, or, previous federal narcotics convictions or a previous CCE conviction, under certain defined circumstances.
. Even the language of the relevant exception to the statute contemplates that the Court will have initially seated a jury for both phases of the trial. See § 848(i)( 1)(B)(iii) ("The hearing shall be conducted ... before a jury impaneled for the purpose of the hearing if ... the juiy which determined the defendant's guilt has been discharged for good cause”).
. Section 848(o) reads in pertinent part as follows:
(1) In any hearing held before a jury under this section, the court shall instruct the jury that in its consideration of whether the sentence of death is justified it shall not consider the race, color, religious beliefs, national origin, or sex of the defendant, or the victim, and that the jury is not to recommend a sentence of death unless it has concluded that it would recommend a sentence of death for the crime in question no matter what the race, color, religious beliefs, national origin, or sex of the defendant, or the victim, may be.
Section 848(o )(1) further requires the juty to individually sign and certify in writing that they have complied with this provision.
. Judge Rambo allowed the analysis to proceed because of her conscientious concern that the statistics "may indicate that white § 848 defendants otherwise eligible for the death penalty have not been subject to the death penalty prosecutions, which could show that [the defendant] has been selectively chosen for punishment.” Id. (emphasis added).
This Court will not follow suit based in some measure on Judge Rambo’s contrary conclusions after her no doubt comprehensive in camera review of the materials produced by DOJ in compliance with her order (discussed infra), and because of the risk of effectively eviscerating the already minimal burdens imposed by the first element.
. The government has proposed what it considers to be a reasonable accommodation: that they identify "the vast majority” of their witnesses three days before the taking of evidence begins (witnesses already known to the defendants), and as to approximately twenty other witnesses, the government disclose their identities on the Friday prior to the week in which they are scheduled to testify. The government also indicates that after identifying those witnesses, it would *861 make every effort to make them available to defense counsel at a state police barracks, the U.S. Attorney’s office or some other neutral(?) location.
At oral argument the defense and the government met privately to discuss this proposal. Without reaching an agreement, the parties sought leave to brief what the Court believed were issues of impasse within what was otherwise some form of agreement as to a mutually satisfactory procedure for witness lists. The briefing received by the Court, however, merely reargues the principal questions as outlined infra, and makes no reference to the prospect of a stipulation as to these issues.
